A high-performing London-based Fixed Income and Relative Value fund with ambitious growth plans is expanding its Repo team. This is a fantastic opportunity to join a nimble, performance-driven environment where your input will directly influence the fund’s liquidity, efficiency, and future scale.
Working closely with the Head of Repo Trading and key internal teams, you’ll take on a hands-on, front-to-back role involving; executing trades, optimising funding, and helping to refine the firm’s cash and liquidity management framework. It’s an ideal move for someone who thrives in a fast-moving market environment and wants their work to have a tangible impact.
Key Responsibilities:
* Execute and manage repo and reverse repo trades across multiple counterparties.
* Lead daily funding optimisation and liquidity management processes.
* Monitor and report on funding costs, ensuring balance sheet efficiency.
* Help develop and enhance internal systems, tools, and workflows to support scaling operations.
* Engage in ad hoc project work, collaborating with trading and operations to drive process improvements.
* Manage mismatches and overnight repo positions, ensuring precision and consistency.
Requirements:
* 3–6 years’ experience in operational or trading roles.
* Demonstrable knowledge of repo processes.
* Strong attention to detail and accountability mindset.
* Proven ability to deliver in a fast-paced, dynamic environment.
* Track record of building and maintaining new systems and procedures.