A London-based fixed income / relative value fund with significant plans for growth and scale is looking to add headcount to their repo team. This addition is part of a wider buildout as the fund grows, so this role represents an opportunity to gain unrivalled exposure in a unique environment.
This role works directly alongside the Head of Repo Trading and other internal teams, trading on unencumbered cash as well as supporting cash and liquidity management processes.
Daily duties will include, but are not limited to:
* Executing repo/reverse repo trades.
* Monitoring funding costs and balancing books.
* Building out internal systems and procedures.
* Ad hoc project work.
* Managing mismatches and overnight repo files.
The successful candidate will have:
* 3-6 years of experience in operational or trading roles.
* Strong attention to detail and accountability mindset.
* Demonstrable knowledge of repo processes.
* Proven ability to deliver in a fast-paced, dynamic environment.
* Track record or building and maintaining new systems and procedures.
* Practical coding skills in Python.