Responsibilities:
- Execute trades in treasury securities, government bonds, corporate bonds, and other fixed income instruments to achieve desired investment objectives.
- Monitor market conditions and analyze economic data to identify trading opportunities and risks.
- Develop and implement trading strategies to generate alpha and minimize portfolio risk.
- Manage relationships with counterparties, brokers, and other market participants to ensure optimal trade execution and access to liquidity.
- Work closely with portfolio managers and research analysts to provide market insights and support investment decision-making.
- Monitor and analyze portfolio performance and attribution, and communicate findings to internal stakeholders.