Derivatives Analyst supporting structuring, pricing, execution, and risk management within capital markets. Building knowledge across swaps, options, and commodities while assisting senior sales teams.
Responsibilities
Supports structuring, pricing, execution, and risk management of interest rate and commodity hedging solutions
Monitor interest rate markets, prepare daily and weekly market updates
Build working knowledge of derivatives including interest rates and commodities
Support senior sales by running pricing models and preparing client-ready materials
Coordinate end-to-end trade execution with sales, trading, and operations teams
Assist with counterparty credit exposure tracking and ensure adherence to internal controls and policies
Work with Relationship Managers to prepare client materials and identify hedging needs
Requirements
High School Diploma or Equivalent required
Bachelor’s degree in Finance, Economics, or related field, preferred
Strong quantitative skills with proficiency in Excel (pivot tables, financial modeling)
Understanding of financial markets, fixed-income products, commodities, or derivatives concepts (coursework or internship experience a plus)
Excellent analytical, organizational, and problem-solving skills
Curiosity, attention to detail, and ability to work efficiently in a fast-paced environment
Experience from internships in sales & trading, energy risk, corporate treasury, or commercial banking, preferred
Basic knowledge of hedge accounting (ASC 815), ISDA documentation, or credit processes, preferred.
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