CrawlJobs Logo

Markets Trading

barclays.co.uk Logo

Barclays

Location Icon

Location:
United States , New York

Category Icon
Category:

Job Type Icon

Contract Type:
Not provided

Salary Icon

Salary:

125000.00 - 175000.00 USD / Year

Job Description:

Join Barclays as a Markets Trading - AVP. At Barclays, our vision is clear –to redefine the future of banking and help craft innovative solutions. In this role, you will execute trades and manage risk across a defined portfolio of Agency MBS and related financial instruments, ensuring alignment with market conditions and firm strategy. You will support daily market-making and hedging activities while maintaining strong oversight of risk metrics, P&L reporting, and trade accuracy. You will collaborate closely with structurers, sales teams, research, and technology partners to enhance analytics, trading infrastructure, and deal execution. You will also combine technical expertise in mortgage products with strong analytical skills to identify relative value opportunities and improve risk-adjusted returns.

Job Responsibility:

  • Execution of buy and sell orders or pricing of liquidity in various financial instruments while adhering to the bank's trading strategies and risk parameters.
  • Monitoring and analysis of global financial markets, economic indicators, news, and geopolitical events to identify trading opportunities and assess market risks.
  • Management and monitoring of the risk associated with the trading portfolio and ensuring compliance with regulatory and internal risk management guidelines.
  • Collaboration with research analysts and other teams to gather insights and information for trading decisions.

Requirements:

  • Expertise in Agency MBS products, including TBA, specified pools, and CMO structures
  • An understanding of market-making, hedging strategies, and portfolio risk management
  • Proficiency in daily P&L preparation, reconciliation, and risk reporting
  • Ability to conduct prepayment analysis and mortgage relative value assessments
  • Experience collaborating with modeling, research, and technology teams to enhance trading analytics and infrastructure

Nice to have:

  • Analytical and problem-solving capabilities with attention to detail
  • Effective communication skills for interfacing with various teams
  • Ability to manage multiple priorities and execute tasks under time-sensitive conditions
  • Collaborative mindset with a willingness to partner across functions to drive outcomes
  • High degree of accountability, integrity, and ownership in support of revenue and business goals

Additional Information:

Job Posted:
January 13, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

Looking for more opportunities? Search for other job offers that match your skills and interests.

Briefcase Icon

Similar Jobs for Markets Trading

Trade Marketing Manager

Are you a commercially astute Trade Marketing Manager looking for your next chal...
Location
Location
United Kingdom , London
Salary
Salary:
60000.00 GBP / Year
signaturecm.co.uk Logo
Signature Career Management
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • FMCG experience
  • Robust experience of trade marketing, shopper marketing, or customer activation in grocery
  • A proven track record of developing and executing best in class activation
  • Experience in working culturally diverse organisations and customer groups
  • Ability to get into London office twice a week
Job Responsibility
Job Responsibility
  • Lead, develop, execute, and evaluate activation plans across grocery, wholesale, cash and carry, and specialist retailers
  • Create best in class visibility for brands at key points in the path to purchase to drive conversion
  • Set the agenda and owning activation calendar
  • Lead the development and implementation of best practice POS solutions
  • Manage online POS system
  • Manage agency relationships
  • Track, review, and evaluate campaigns and suggest improvements
  • Stakeholder management
  • Fulltime
Read More
Arrow Right

Trade Marketing Manager

Lead the development and execution of impactful trade marketing strategies for a...
Location
Location
Japan , Tokyo
Salary
Salary:
7000000.00 - 10000000.00 JPY / Year
https://www.randstad.com Logo
Randstad
Expiration Date
March 11, 2026
Flip Icon
Requirements
Requirements
  • University degree in a related field (e.g., Business, Marketing)
  • Minimum 2 years of trade marketing experience in the FMCG industry in Japan, preferably in the food and beverage sector
  • Deep understanding of the Japanese retail landscape and distribution channels
  • Strong analytical and problem-solving skills, with experience in data analysis and forecasting
  • Proven ability to develop and execute successful trade marketing campaigns
  • Excellent communication and presentation skills in both Japanese and English
  • Strong leadership and team management skills
  • Proficiency in Microsoft Office Suite (Excel, PowerPoint)
  • Experience with budget management and ROI analysis
  • Strategic thinking and ability to adapt to a changing market environment
Job Responsibility
Job Responsibility
  • Lead the development and execution of trade marketing strategies aligned with overall business objectives
  • Develop and manage promotional guidelines, ensuring maximum ROI
  • Analyze market trends, competitor activity, and customer insights to inform strategic decision-making
  • Collaborate with cross-functional teams (sales, marketing, finance) to achieve seamless execution of plans
  • Manage and mentor a small team, fostering a high-performance culture
  • Develop and maintain strong relationships with key accounts and distributors
  • Manage and optimize trade spending to maximize return on investment
  • Prepare regular sales reports and presentations for internal and external stakeholders
What we offer
What we offer
  • Health insurance
  • Employee pension insurance
  • Employment insurance
  • Workers' compensation insurance
  • Weekend and public holiday leave
  • Fulltime
Read More
Arrow Right

Trade Marketing Manager

This individual will be responsible for the development, creation and deployment...
Location
Location
United Kingdom , London, Hammersmith
Salary
Salary:
Not provided
experis.co.uk Logo
Experis
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Brand or trade marketing experience
  • Project management experience
  • Able to work at an agile pace
  • Capable in managing and running multiple campaigns simultaneously
  • Experience working with creative and production agency suppliers
  • Confident and well organised
Job Responsibility
Job Responsibility
  • Manage the creation & deployment of agreed campaigns
  • Roll out of all tactical communication for use across short term activities, this includes all TPOSM kits from artwork, testing to final production
  • Technical understanding and experience of working with POS solutions ranging from digital media to POS fixtures
  • The creation of status reports
  • Collaborate with multiple suppliers to source, develop, and produce permanent and temporary point of sale (POS) materials
  • Manage the deployment and maintenance of gantry fixtures, ensuring optimal placement and functionality
Read More
Arrow Right

FX & Capital Markets Trade-Support Analyst

Join us for an exciting opportunity as a FX & Capital Markets Trade-Support Anal...
Location
Location
Ireland , Dublin
Salary
Salary:
Not provided
barclays.co.uk Logo
Barclays
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Demonstratable experience in a front-office trading/trade support role – across FX/FX Derivative & Capital Markets (Equities/Bonds/ETF)
  • Attention-to-detail – with an ability to perform consistently under pressure
  • Excellent communication skills (written & oral) – across internal stakeholders and our UHNW Client base
Job Responsibility
Job Responsibility
  • Provision of SME expertise on specific products and services to customers and colleagues
  • Identification of market trends, new features, regulatory requirements and potential risks
  • Response to customer inquiries, resolution of issues, and provision of guidance on product usage
  • Presentation of the advantages and features of the product to potential customers
  • Assistance with the development and execution of marketing materials for the product
  • Participation in training sessions and workshops to share product knowledge
  • Participation in events, conferences, and other networking opportunities to showcase the product
What we offer
What we offer
  • Hybrid working
  • Modern workspaces
  • Collaborative areas
  • State-of-the-art meeting rooms
  • Wellness rooms
  • On-site cafeterias
  • Fitness centers
  • Tech-equipped workstations
  • Fulltime
Read More
Arrow Right

Non Trading Market Risk Management - Vice President

The BSM NTMR Snr Ld analyst will drive the production needs and lead various wor...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 6-10 years experience in Financial Services, Treasury, and bank global liquidity investment portfolio
  • Excellent Excel and PowerPoint skills for report building and presentations
  • Intermediate knowledge in debt investment securities and non-trading market risk such as FXRBB, commodity risk, private equity risk and CSRBB, QMMF and CCAR for Pensions, ATM/AFS portfolios, etc.
  • Intermediate understanding of regulatory, compliance, risk management and financial management, and data governance concerns
  • Intermediate understanding of Bank ALM, Capital, and Liquidity considerations
  • Intermediate experience in debt investment securities analytics, measurement, metrics and methodologies
  • Demonstrated ability to collaboratively solution complex and dynamic processes
  • Proven ability to work under pressure in ambiguous environments
  • Excellent oral and written communications skills
  • Previous experience interacting and working with Executive Leaders
Job Responsibility
Job Responsibility
  • Drive the production needs and lead various workstreams to develop, enhance, measure, and monitor 1st line Non-Trading Market Risk framework including Governance and Oversight, Metrics, Methodology, Measurement, Data and Infrastructure, Process and Controls, and Management for Commodity/Equity/CSRBB Framework, FXRBB, stress testing analytics relating to CCAR and QMMF for Citi's global Pensions, and AFS/HTM securities, and asset allocation design
  • Be a lead analyst to support the implementation of and contribute to BSM's process by providing key analytical insights across BSM functions with a primary focus on asset allocation, FXRBB, OCI stress testing analytics for (CCAR) and QMMF for pensions and AFS /HTM securities, Commodity/Equity/CSRBB risk
  • Provide leadership, market experience, and subject matter expertise for enhancing BSM's analytics and methodologies and establishing Citi's first-line NTMR management framework
  • Use subject matter expertise to aid senior leaders in aligning governance and management framework, procedures and controls for all legal entities that have OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book
  • Liaise with businesses, legal entity treasury, CTI and Markets Treasury, and Controllers teams to ensure both an understanding and the ability to manage other non-trading market risks
  • Support the team and assist Manager with remediation gap efforts in other non-trading market risk as required by Tier 1 regulations and help to remediate regulatory/audit self-identified issues concerning other non-trading market risks in the banking book and achieve target state framework
  • Interact with 2nd line FinCRO function, regulators, senior management and Non-Traded Market Risk governance committees
  • Provides advice and counsel related to the technology or operations of the business
  • Fulltime
Read More
Arrow Right

Markets E Trading Risk and Control Senior Vice President

Senior Vice President role in E-Trading Risk and Controls (ETRC) team, part of t...
Location
Location
Canada , Mississauga
Salary
Salary:
145100.00 - 217700.00 USD / Year
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Subject matter expertise with Electronic Trading Risks, Controls and market structure
  • 10+ years relevant work experience in Business Risk & Controls, Compliance or Audit
  • Strong level of proficiency with Data Analytics and Visualization protocols
  • Proven experience and knowledge of E-Trading regulations
  • Experience with designing and managing centralized E-Trading tools (limit databases, risk and control inventories) from a technical and project delivery perspective
  • Consistently demonstrates clear and concise written and verbal communication skills
  • Effective organizational influencing skills required
  • Excellent problem-solving skills
  • Ability to see the big picture with high attention to critical detail
  • Demonstrated ability to develop and implement strategy and process improvement initiatives
Job Responsibility
Job Responsibility
  • Perform Real-Time Monitoring (RTM) one/two days a week including Bank Holidays (when required)
  • Oversee the design and governance of Market's E-Trading Inventory
  • NAM lead in the build out of various MI dashboards applicable to E-Trading
  • Provide expert guidance to the Businesses with respect to the E-Trading Governance framework
  • Assist with key E-Trading initiatives and remediation of ETRC enhancement projects for the NAM region
  • Develop and manage key relationships with the NAM E-Trading Businesses, Technology, Risk and Compliance functions
  • Exercise independence of judgement and autonomy
What we offer
What we offer
  • Well-being support
  • Growth opportunities
  • Work-life balance support
  • Fulltime
Read More
Arrow Right

Non-Trading Market Risk Management Senior Analyst

The BSM NTMR Senior Analyst will support the production needs in various workstr...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Experience in Fixed Income & Bonds Valuation
  • 5+ years experience in Risk Management, Financial Services, Treasury, and bank global liquidity investment portfolio
  • Strong Excel and PowerPoint skills for report building and presentations
  • Basic knowledge in debt investment securities and non-trading market risk such as FXRBB, commodity risk, private equity risk and CSRBB, QMMF and CCAR for Pensions, ATM/AFS portfolios
  • Fundamental understanding of regulatory, compliance, risk management and financial management, and data governance concerns
  • Intermediate understanding of Bank ALM, Capital, and Liquidity considerations
  • Basic experience in debt investment securities analytics, measurement, metrics and methodologies
  • Demonstrated ability to collaboratively solution complex and dynamic processes
  • Ability to work under pressure in ambiguous environments
  • Strong oral and written communications skills with ability to synthesize complex concepts
Job Responsibility
Job Responsibility
  • Support the production needs in various workstreams to develop, enhance, measure, and monitor 1st line Non-Trading Market Risk framework including Governance and Oversight, Metrics, Methodology, Measurement, Data and Infrastructure, Process and Controls
  • Support analysis in the implementation of BSM's process by providing key analytical insights across BSM functions with a primary focus on asset allocation, FXRBB, OCI stress testing analytics for (CCAR) and QMMF for pensions and AFS/HTM securities, Commodity/Equity/CSRBB risk
  • Develop key management review presentations
  • Oversee the data results and management report metrics for decision processes
  • Support subject matter experts on the team to aid senior leaders in aligning governance and management framework, procedures and controls for all legal entities that have OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book
  • Support the team and assist Manager with remediation gap efforts in other non-trading market risk (excl IRRBB) as required by Tier 1 regulations
  • Contributes to enhancing processes to manage these exposures in a well governed environment
What we offer
What we offer
  • Access to telehealth options, health advocates, confidential counseling
  • Expanded Paid Parental Leave Policy
  • Programs to help manage financial well-being and plan for the future
  • Access to learning and development resources
  • Generous paid time off packages
  • Resources and tools to volunteer in communities
  • Fulltime
Read More
Arrow Right

Non-Trading Market Risk Mgmt Sr. Analyst

The BSM NTMR Senior Analyst will support the production needs in various workstr...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5+ years experience in Financial Services, Treasury, and bank global liquidity investment portfolio
  • Strong Excel and PowerPoint skills for report building and presentations
  • Basic knowledge in debt investment securities and non-trading market risk such as FXRBB, commodity risk, private equity risk and CSRBB, QMMF and CCAR for Pensions, ATM/AFS portfolios, etc.
  • Fundamental understanding of regulatory, compliance, risk management and financial management, and data governance concerns
  • Intermediate understanding of Bank ALM, Capital, and Liquidity considerations
  • Basic experience in debt investment securities analytics, measurement, metrics and methodologies
  • Demonstrated ability to collaboratively solution complex and dynamic processes
  • Ability to work under pressure in ambiguous environments
  • Strong oral and written communications skills with ability to synthesize complex concepts
  • Strong technical problem-solving skills
Job Responsibility
Job Responsibility
  • Support analysis in the implementation of BSM’s process by providing key analytical insights across BSM functions with a primary focus on asset allocation, FXRBB, OCI stress testing analytics for (CCAR) and QMMF for pensions and AFS /HTM securities, Commodity/Equity/CSRBB risk
  • Provide accurate analysis to be used for enhancing BSM’s analytics and methodologies and establishing Citi's first-line NTMR management framework (Policy/Standard/Procedures, models, methodologies, reporting, controls, processes, analytics, data and documentation)
  • Develop key management review presentations
  • Oversee the data results and management report metrics for decision processes
  • Support subject matter experts on the team to aid senior leaders in aligning governance and management framework, procedures and controls for all legal entities that have OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book
  • Liaise with businesses, legal entity treasury, CTI and Markets Treasury, and Controllers teams to ensure both an understanding and the ability to manage other non-trading market risks
  • Support the team and assist Manager with remediation gap efforts in other non-trading market risk (excl IRRBB) as required by Tier 1 regulations and help to remediate regulatory/audit self-identified issues concerning other non-trading market risks in the banking book and achieve target state framework
  • Applies in-depth disciplinary knowledge, contributing to the development of new techniques and the improvement of processes and work-flow for the area or function
  • Integrates subject matter and industry expertise within a defined area
  • Contributes to enhancing processes to manage these exposures in a well governed environment
  • Fulltime
Read More
Arrow Right