Is this a real trading job? Can S&T ever go back to taking real prop risk?
Is this a real trading job? Or do these trading roles not really emulate how the BBs used to run their books pre-2007?
BSM Associates are looking for a Funding & Liquidity – Trading/Execution – Tier 1 IB.
Tier 1 Bank seeks candidate with experience in Liquidity Risk Management or Repos to join their Treasury Funding Desk. Candidates should have strong academics in a quantitative subject (Maths, Statistics, Econometrics, Sciences).
Responsibilities
Liquidity Risk Management
Monitor liquidity risk metrics as well as assisting in the management of Excess Liquidity and the Managed Asset Portfolio ensuring compliance with all risk limits and regulatory ratios.
Funding Execution
Bill purchases, reverse repo, foreign exchange and derivative trade execution.
Monitor conditions affecting the funding environment and react appropriately
Essential Risk Processes
Management of flash P&L processes and investigation of any breaks.
Preparation of Volcker reporting packs.
Analysis and communication of performance & risk metrics.
Measurement and monitoring of risk positions.
Other
Participate in technology enhancement projects
Awareness of the regulatory environment and key drivers impacting local funding and liquidity needs.
Monitoring of global financial markets and providing market updates to global partners.
Liaison with key support partners in order to monitor, measure and analyse risk.
that sounds very much like the treasury function of managing excess money on the balance sheet. Basically short term interest rate trading..and maybe a hybrid of MO/BO responsibilities?
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