Requires five 5 years of experience with Emerging Markets Fixed Income; Global credit, interest rate and currency markets; Identifying investment opportunities within Emerging Market bond universe and conducting relative value analysis; Capital Markets Analysis; Bloomberg Terminal; Liquidity Management; Hedging Strategies; FX transactions; and Corporate Bond Markets. Requires four 4 years of experience with Financial Modeling; and Managing Fixed Income Portfolios. Requires any amount of experience with Scenario Analyses. Requires certification with FINRA SIE, Series 7 and Series 63 exams.
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