CME Group is the world’s leading derivatives marketplace. We enable clients to trade futures, options, cash and OTC markets, optimize portfolios, and analyze data – empowering market participants worldwide to efficiently manage risk and capture opportunities. CME Group exchanges offer the widest range of global benchmark products across all major asset classes based on interest rates, equity indexes foreign exchange energy agricultural products and metals. We meet uncertainty and volatility with confidence and clarity, across the trading lifecycle and around the world. This role will support the product management and development of Long-Term Interest Rate Products & U.S. Treasury Futures, working with the Product Lead to implement the business strategy. The analyst will analyze business key metrics, monitor trends, and apply product knowledge to add context to analysis. They will also facilitate the development and ongoing management of market maker liquidity incentive programs, regularly engaging with both external clients and internal stakeholders. Additionally, the role involves participating in sales efforts, acting as a liaison with internal teams, and assisting in understanding the impact of market structure on the competitive landscape. The analyst will develop strong expertise within the relevant product group and a broader understanding of global Interest Rate F&O, OTC products, and fixed income securities, while collaborating with peers and working effectively across internal teams to manage interest rate product issues.
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Job Type
Full-time
Career Level
Mid Level