Bank of America Merrill Lynch
Job Description:
The G10 FX Spot Trading team, in Bank of America’s Foreign Exchange Group is responsible for market making and managing risk in all manner of G10 spot products.
The group has trading desks in New York, London, Hong Kong and Tokyo.
New York FX Spot is the primary facilitator for trading currencies on behalf of institutional and corporate clients and Bank of America, to ensure optimal market pricing and minimal risk.
In this role, you will monitor and analyze various factors to anticipate movements in the international currency markets.
This encompasses high proficiency and understanding of central bank policy and macro trading.
FX Spot traders act as the center of information and excellence within global foreign exchange and work closely with their counterparts in global derivatives and forwards products.
Responsibilities
Supporting Desk administration, End-of-Day processes, and regulatory responsibilities
Support market making FX Voice Spot
– booking, pricing, trade analysis.
Effectively manage risk in spot in G-10 pairs.
Partner with FX Relationship Managers in the US and internationally to accept trade orders from clients.
Conduct all trading within Bank of America policy and external market standards.
Buy and sell currencies to profit from anticipated market movements, while keeping within authorized trading limits.
Analyzing Foreign Exchange and Interest Rate markets, including central bank policy
Monitoring and maintaining certain regulatory and internal risk and liquidity limits
Production of leading thought leadership and market color pertaining to global foreign exchange markets
Cultivating and maintaining client relationships
Qualifications
Deep and abiding interest in international political economy
Strong analytical, quantitative and problem solving skills.
Ability to work under pressure in a fast paced environment.
Strong attention to detail.
Ability to handle multiple and conflicting priorities, while meeting deadlines.
Ability to interact with all levels of management.
Experience with standard desktop tools, including Microsoft Office.
Strong written and verbal communication skills.
Job Band:
H5
Shift:
1st shift (United States of America)
Hours Per Week:
40
Weekly Schedule:
Referral Bonus Amount:
0
–> Job Description:
The G10 FX Spot Trading team, in Bank of America’s Foreign Exchange Group is responsible for market making and managing risk in all manner of G10 spot products.
The group has trading desks in New York, London, Hong Kong and Tokyo.
New York FX Spot is the primary facilitator for trading currencies on behalf of institutional and corporate clients and Bank of America, to ensure optimal market pricing and minimal risk.
In this role, you will monitor and analyze various factors to anticipate movements in the international currency markets.
This encompasses high proficiency and understanding of central bank policy and macro trading.
FX Spot traders act as the center of information and excellence within global foreign exchange and work closely with their counterparts in global derivatives and forwards products.
Responsibilities
Supporting Desk administration, End-of-Day processes, and regulatory responsibilities
Support market making FX Voice Spot
– booking, pricing, trade analysis.
Effectively manage risk in spot in G-10 pairs.
Partner with FX Relationship Managers in the US and internationally to accept trade orders from clients.
Conduct all trading within Bank of America policy and external market standards.
Buy and sell currencies to profit from anticipated market movements, while keeping within authorized trading limits.
Analyzing Foreign Exchange and Interest Rate markets, including central bank policy
Monitoring and maintaining certain regulatory and internal risk and liquidity limits
Production of leading thought leadership and market color pertaining to global foreign exchange markets
Cultivating and maintaining client relationships
Qualifications
Deep and abiding interest in international political economy
Strong analytical, quantitative and problem solving skills.
Ability to work under pressure in a fast paced environment.
Strong attention to detail.
Ability to handle multiple and conflicting priorities, while meeting deadlines.
Ability to interact with all levels of management.
Experience with standard desktop tools, including Microsoft Office.
Strong written and verbal communication skills.
Job Band:
H5
Shift:
1st shift (United States of America)
Hours Per Week:
40
Weekly Schedule:
Referral Bonus Amount:
0
Job Description:
The G10 FX Spot Trading team, in Bank of America’s Foreign Exchange Group is responsible for market making and managing risk in all manner of G10 spot products.
The group has trading desks in New York, London, Hong Kong and Tokyo.
New York FX Spot is the primary facilitator for trading currencies on behalf of institutional and corporate clients and Bank of America, to ensure optimal market pricing and minimal risk.
In this role, you will monitor and analyze various factors to anticipate movements in the international currency markets.
This encompasses high proficiency and understanding of central bank policy and macro trading.
FX Spot traders act as the center of information and excellence within global foreign exchange and work closely with their counterparts in global derivatives and forwards products.
Responsibilities
Supporting Desk administration, End-of-Day processes, and regulatory responsibilities
Support market making FX Voice Spot
– booking, pricing, trade analysis.
Effectively manage risk in spot in G-10 pairs.
Partner with FX Relationship Managers in the US and internationally to accept trade orders from clients.
Conduct all trading within Bank of America policy and external market standards.
Buy and sell currencies to profit from anticipated market movements, while keeping within authorized trading limits.
Analyzing Foreign Exchange and Interest Rate markets, including central bank policy
Monitoring and maintaining certain regulatory and internal risk and liquidity limits
Production of leading thought leadership and market color pertaining to global foreign exchange markets
Cultivating and maintaining client relationships
Qualifications
Deep and abiding interest in international political economy
Strong analytical, quantitative and problem solving skills.
Ability to work under pressure in a fast paced environment.
Strong attention to detail.
Ability to handle multiple and conflicting priorities, while meeting deadlines.
Ability to interact with all levels of management.
Experience with standard desktop tools, including Microsoft Office.
Strong written and verbal communication skills.
Shift:
1st shift (United States of America)
Hours Per Week:
40