Fixed Income Trader
Core
Execute customer-directed fixed income and money market transactions and support the full trade lifecycle including settlement and reconciliation.
Role type
Fixed Income Trader (Execution & Operations)
Builds
Institutional client trade execution and settlement for Treasury, agency, and money market products
Domain
Fixed Income Trading / Institutional Sales
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure | physical/clinical work
Required skills
Fixed income trade execution, trade lifecycle management (confirmation, clearing, settlement), trade balancing, reconciliation, operational reporting, regulatory compliance, Microsoft Excel, Bloomberg trading system
Preferred skills
Knowledge of Treasury/Agency securities, commercial paper, money market mutual funds, FDIC sweep products, root cause analysis for trade issues, managing high-volume transactions
Technologies
Bloomberg, Microsoft Excel
Responsibilities
Execute customer-directed transactions, support trades through full lifecycle, perform trade balancing and reconciliations, partner with Sales/Operations/Compliance, maintain regulatory compliance, provide guidance to team members
Seniority
Mid-Senior, hands-on IC