Job description: Stay on top of risk PnL and inventory and act according to procedures e.g. adjust system configuration. Assess client flow, provision liquidity accordingly and be a reference point to Sales and other internal teams. Assess sourced liquidity and act to optimize it e.g. proactively liaise with LPs, adjust systematic hedging configuration etc. Use internal analytical tools and your own quantitative capabilities to draw data-driven conclusions, suggest actions, deliver reporting. Ensure that systems perform as expected and consult IT and software engineers when necessary.
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