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Ideally, we're looking for an existing buy-side candidate with coverage of multiple asset classes spanning Bonds, Repos, CFDs, TRS ,Credit Derivatives (CDS, Index, Options, Tranches), Futures & Options, FX, Loans. Away from the day to day ops aspect, candidates must be confident and able to coordinate with back/front office and senior management. You will also be expected to contribute to a bi-weekly cash/positions reporting meeting with the US and UK team. If you have use of Everest BM or Geneva, that is a huge bonus.