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Emerging markets hard currency bond trader

Job in Milan, Lombardy, Italy
Listing for: Altro
Full Time position
Listed on 2026-10-03
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Advisor / Consultant, Trading - Equity / Derivatives / Quantitative
Salary/Wage Range or Industry Benchmark: 90000 - 110000 EUR Yearly EUR 90000.00 110000.00 YEAR
Job Description & How to Apply Below
Experteer Overview  In this role you will lead trading, market making and risk management for Emerging Markets hard currency sovereign and quasi-sovereign bonds, with a focus on USD and EUR. You will partner with Sales and global Trading teams to develop the EM franchise, manage positions, and provide competitive pricing. The role blends front-office trading with risk oversight in a dynamic, cross-regional environment.

You will drive strategies, optimize liquidity, and ensure compliance with internal and regulatory standards.
Retribuzione / Benefits   Trade and market-make EM hard currency sovereign and quasi-sovereign bonds (USD/EUR)
Manage market, credit and liquidity risks within risk framework and limits
Provide competitive pricing and liquidity in EM perimeter
Balance client flows, opportunities and risk-reward for positions
Develop relative-value, directional and hedging strategies across EM credit markets
Collaborate with Sales to share market views and trade ideas
Identify opportunities to expand client activity and coverage in EM
Coordinate with other desks/hubs to optimize risk, liquidity, and coverage
Contribute senior market expertise to strategic development of EM trading franchise
Ensure trading activities comply with internal policies, risk limits and regulatory requirements
Responsabilità   5–10 years of EM hard currency bond trading experience
Extensive sovereign and quasi-sovereign credit experience with P/L and risk management responsibility
Strong USD and EUR EM debt knowledge
Experience across Lat Am, CEE, Middle East & Africa and/or Asia
Ability to manage sizeable positions and varying market conditions
Proven opportunity identification and business development skills
Frontend trading, pricing, risk-management and position-keeping systems experience
Degree in Economics, Finance, Engineering, Mathematics or other quantitative discipline
Strong sovereign credit analysis, macro fundamentals, debt sustainability and geopolitical risk
Knowledge of credit spreads, yield curves, relative-value analysis and FI risk metrics
Understanding of EM hedging instruments (government bonds, IR/FX/credit derivatives)
Excellent risk-management and decision-making abilities
Fluency in English
Requisiti fondamentali   gross annual salary starting from 100,000
performance-related variable component
training programs through Corporate Academy
flexible working with 4-day workweek (4x9)
corporate welfare system
healthcare coverage and supplementary retirement plan
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