Primary responsibilities include executing credit trading strategies across the MENA region, managing complex trading portfolios, developing and maintaining robust trading relationships with institutional clients, and providing market insights and trading recommendations to internal and external stakeholders.
Required experience includes extensive knowledge of credit markets, proven trading track record in fixed income or credit trading, advanced understanding of financial instruments, risk management techniques, and comprehensive knowledge of MENA region financial dynamics. Candidates must possess strong quantitative skills, advanced financial modeling capabilities, and deep understanding of credit market structures.
The role offers competitive compensation, opportunities for professional growth within a global financial institution, exposure to diverse and complex trading environments, potential for career advancement, comprehensive benefits package, and the chance to work with a leading international bank known for its innovative approach to financial markets.