Barclays-posted 7 months ago
$110,000 - $125,000/Yr
Full-time • Entry Level
New York, NY
Credit Intermediation and Related Activities

Join us as an XVA Trader. At Barclays, our vision is clear - to redefine the future of banking and help craft innovative solutions. Join a high-impact team at the forefront of managing valuation adjustments and risk across a diverse portfolio of financial products. You will have significant responsibility from day one with exposure to all major asset classes. Ideal for someone eager to work in a fast-paced, high-pressure environment with steep learning opportunities. You will execute trades and manage risk within a defined portfolio of financial instruments, with a focus on valuation adjustments.

  • Execution of buy and sell orders or pricing of liquidity in various financial instruments while adhering to the bank's trading strategies and risk parameters.
  • Monitoring and analysis of global financial markets, economic indicators, news, and geopolitical events to identify trading opportunities and assess market risks.
  • Management and monitoring of the risk associated with the trading portfolio and ensuring compliance with regulatory and internal risk management guidelines.
  • Collaboration with research analysts and other teams to gather insights and information for trading decisions.
  • Strong data analysis capabilities, including experience with Python and building analytical tools.
  • Solid understanding of derivatives across asset classes, especially credit and underlying products.
  • Familiarity with XVA concepts and associated risk management techniques.
  • Series 7, 63, 57 and SIE preferred.
  • Ability to work under pressure and maintain attention to detail in a fast-paced environment.
  • Strong interpersonal skills to manage cross-functional relationships.
  • Quick learner with the initiative to take on responsibility and grow within the role.
  • Minimum Salary: $110,000
  • Maximum Salary: $125,000
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