Overnight borrowing & lending-CROMS and CBLO, margin management for collateral
Manage OIS / IRF hedging- counterparty interaction and design structures for hedging exposure
Manage G-Sec curve trades
Experience in wholesale debt market, and with / as mainstream dealer
Understanding of bond market nuances, new issuances, liquidity adjustments, system surplus / deficit, RBI notifications
Manage book according to defined risk parameters- PV01, Concentration, Liquidity, Duration
Construct and manage the Fixed Income portfolios
Good understanding of capital markets and interrelationships between asset classes
Work on building the desk with trading models, documentation and efficient trade execution
Be able to build base repositories of relevant macro and issue specific Must demonstrate a methodical, disciplined approach to their work self-motivation to develop product knowledge
Rigorous attention to details and great time-management skill required
Comfortable interacting with senior investment professionals
Enthusiasm, drive and demonstrated progression of responsibilities in current position
Ability to work within and across teams and a desire to collaborate
Ability to manage relationships both externally with the market and internally with members of the global Portfolio Management team