o Experience with or knowledge of trading products in capital markets (credit, rates, equities, commodities, or structured credit) preferred
Knowledge of: Fixed Income Modelling. Pricing derivative products like Futures, Options, Indexes, CDS, CDO, FRAs, SWAPs, SWAPTIONs, CAPs/FLOORs. Knowledge of Financial Risk Management: Credit Risk Model, Value at Risk. Knowledge of Interest Rates, Credit spreads, bond pricing, etc.
o Excellent communication skills
o Strong technical skills including experience using MS Excel, Basic SQL and Experience handling large amount of data
o Strong analytical skills