$130K - $160K/yr
By balance sheet size - The Banker, Juillet 2025 Reference 2026-110689 Update date 26/03/2026 Business type Types of Jobs - Others Job title GMD Non-Flow Credit Repo Trader, Associate Contract type ...
$130K - $160K/yr
By balance sheet size - The Banker, Juillet 2025 Reference 2026-110689 Update date 26/03/2026 Business type Types of Jobs - Others Job title GMD Non-Flow Credit Repo Trader, Associate Contract type ...
$130K - $160K/yr
By balance sheet size - The Banker, Juillet 2025 Reference 2026-110689 Update date 26/03/2026 Business type Types of Jobs - Others Job title GMD Non-Flow Credit Repo Trader, Associate Contract type ...
Manhattan, NY · On-site
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
Manhattan, NY · On-site
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
Input and verify trades for securities, derivatives, repos, and reverse repos. * Confirm bonds and repo trades with counterparty trades via executed by phone, email, Tradeweb, or Bloomberg. * Input ...
Input and verify trades for securities, derivatives, repos, and reverse repos. * Confirm bonds and repo trades with counterparty trades via executed by phone, email, Tradeweb, or Bloomberg. * Input ...
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
$70K - $150K/yr
Risk Capture - Book daily repo trading activity into the OMS accurately and on a timely basis. * Liaise with the trading desk, prime brokers, and brokers to confirm activity and resolve any potential ...
$100K - $120K/yr
This position is based in New York You will report locally to the New York Head of Repo and Treasury Trading Support Middle Office. Key Responsibilities The Middle Office team is responsible for ...
$100K - $120K/yr
This position is based in New York You will report locally to the New York Head of Repo and Treasury Trading Support Middle Office. Key Responsibilities The Middle Office team is responsible for ...
Manhattan, NY · On-site
$125K - $150K/yr
Collaborate with NY and London Repo Trading Desks and Repo Support teams Required Skills & Experience * 2-3+ years of strong proficiency in Python for data processing, analysis, or application ...
Manhattan, NY · On-site
$125K - $150K/yr
Collaborate with NY and London Repo Trading Desks and Repo Support teams Required Skills & Experience * 2-3+ years of strong proficiency in Python for data processing, analysis, or application ...
Manhattan, NY · On-site
$125K - $150K/yr
Collaborate with NY and London Repo Trading Desks and Repo Support teams Required Skills & Experience * 2-3+ years of strong proficiency in Python for data processing, analysis, or application ...
Manhattan, NY · On-site
$125K - $150K/yr
Collaborate with NY and London Repo Trading Desks and Repo Support teams Required Skills & Experience * 2-3+ years of strong proficiency in Python for data processing, analysis, or application ...
Chicago, IL · On-site
$100K - $140K/yr
Founded in 1999, Geneva Trading is a premier global principal trading firm with strategically ... If you possess a deep understanding of equity forward dynamics, financing/repo curves, and dividend ...
Chicago, IL · On-site
$100K - $140K/yr
Founded in 1999, Geneva Trading is a premier global principal trading firm with strategically ... If you possess a deep understanding of equity forward dynamics, financing/repo curves, and dividend ...
Optimize customer cash and non-cash collateral across external and internal counterparties, fixed income reverse repo trading, CCPs, banks and carrying brokers with expectations to meet performance ...
Optimize customer cash and non-cash collateral across external and internal counterparties, fixed income reverse repo trading, CCPs, banks and carrying brokers with expectations to meet performance ...
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
Manhattan, NY · On-site
$110K - $125K/yr
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
Manhattan, NY · On-site
$110K - $125K/yr
It is a multi-asset business quoting repo pricing across both investment grade and high yield credit markets. Specials Trading delivers liquidity to the firm's key strategic partners that operate in ...
New York, NY · On-site
$50 - $55/hr
Join a front-office technology team at a leading French investment bank , supporting one of the firm's highest-performing repo trading desks . This is your chance to build next-gen tools that ...
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New York, NY · On-site
$50 - $55/hr
Join a front-office technology team at a leading French investment bank , supporting one of the firm's highest-performing repo trading desks . This is your chance to build next-gen tools that ...
$66K - $125K/yr
Trade Settlement: Oversee the daily settlement of bilateral and tri-party Repo trades, ensuring timely delivery of collateral and cash viaFedwireandexternal vendors. * Collateral Management: Monitor ...
$66K - $125K/yr
Trade Settlement: Oversee the daily settlement of bilateral and tri-party Repo trades, ensuring timely delivery of collateral and cash viaFedwireandexternal vendors. * Collateral Management: Monitor ...
Treasury settlements • Repo trade settlements and unwind/rewind cycles • Collateral allocation and substitutions • Intraday funding and liquidity coordination • Ensure timely and accurate ...
Treasury settlements • Repo trade settlements and unwind/rewind cycles • Collateral allocation and substitutions • Intraday funding and liquidity coordination • Ensure timely and accurate ...
White Plains, NY · On-site
$118K - $170K/yr
SMFG's shares trade on the Tokyo, Nagoya, and New York (NYSE: SMFG) stock exchanges. In the ... Role Description The Repo Collateral Management - Vice President leads the firm's collateral ...
White Plains, NY · On-site
$118K - $170K/yr
SMFG's shares trade on the Tokyo, Nagoya, and New York (NYSE: SMFG) stock exchanges. In the ... Role Description The Repo Collateral Management - Vice President leads the firm's collateral ...
Jersey City, NJ · On-site
$66K - $125K/yr
Trade Settlement: Oversee the daily settlement of bilateral and tri-party Repo trades, ensuring timely delivery of collateral and cash via Fedwire and external vendors. * Collateral Management:
Jersey City, NJ · On-site
$66K - $125K/yr
Trade Settlement: Oversee the daily settlement of bilateral and tri-party Repo trades, ensuring timely delivery of collateral and cash via Fedwire and external vendors. * Collateral Management:
$118K - $170K/yr
SMFG's shares trade on the Tokyo, Nagoya, and New York (NYSE: SMFG) stock exchanges. In the ... Role Description The Repo Collateral Management - Vice President leads the firm's collateral ...
$118K - $170K/yr
SMFG's shares trade on the Tokyo, Nagoya, and New York (NYSE: SMFG) stock exchanges. In the ... Role Description The Repo Collateral Management - Vice President leads the firm's collateral ...
S. Treasury settlements Repo trade settlements and unwind/rewind cycles Collateral allocation and substitutions Intraday funding and liquidity coordination Ensure timely and accurate settlement of ...
S. Treasury settlements Repo trade settlements and unwind/rewind cycles Collateral allocation and substitutions Intraday funding and liquidity coordination Ensure timely and accurate settlement of ...
$12.74 - $14.42
8% of jobs
$14.42 - $16.11
13% of jobs
$16.33 is the 25th percentile. Wages below this are outliers.
$16.11 - $17.79
29% of jobs
$19.42 is the 75th percentile. Wages above this are outliers.
$17.79 - $19.47
25% of jobs
$19.47 - $21.15
9% of jobs
$21.15 - $22.84
5% of jobs
$22.84 - $24.52
4% of jobs
$24.52 - $26.20
2% of jobs
$26.20 - $27.88
1% of jobs
$27.88 - $29.57
1% of jobs
$29.57 - $31.25
1% of jobs
$12
$19
$31
| Aspect | Repo Trader | Securities Trader |
|---|---|---|
| Required Credentials | Typically a finance or economics degree; certifications like CFA are common | Similar educational background; CFA often preferred |
| Work Environment | Work primarily in trading desks within banks or financial institutions, focusing on short-term lending and borrowing | Work in trading floors or desks, dealing with buying and selling securities like stocks and bonds |
| Industry Usage | Common in banking, asset management, and hedge funds involved in short-term funding | Widely used across investment banks, asset managers, and hedge funds for securities trading |
While both roles involve financial markets, Repo Traders focus on short-term lending via repurchase agreements, whereas Securities Traders deal with buying and selling securities. Understanding these differences helps in choosing the right career path within finance.

$130K - $160K/yr
Contractor
Re-posted 9 days ago
General information Entity About Credit Agricole Corporate and Investment Bank (Credit Agricole CIB) Credit Agricole CIB is the corporate and investment bank of the Credit Agricole group, the 10th largest banking group in the world *. We support major companies and financial institutions in their development and the financing of their projects. As pioneers in responsible finance, social and environmental commitments are at the heart of our activities.
Joining our teams means working in a multicultural environment, both dynamic and stimulating, where you will contribute to developing a sustainable economy. We support employees throughout their journey: you will develop your skills and access various mobility opportunities among the diversity of our businesses in more than 30 international locations. Our culture is built on collaboration, innovation and openness, where everyone is valued and empowered.
By working every day in the interest of society, Credit Agricole CIB aligns with the Group values committed to diversity and inclusion and placing people at the heart of all its transformations. All our jobs are open to people with disabilities. We welcome applications from candidates of all backgrounds and experiences.
Ready to take part in our mission . *By balance sheet size - The Banker, Juillet 2025 Reference 2026-110689 Update date 26/03/2026 Job description Business type Types of Jobs - Others Job title GMD Non-Flow Credit Repo Trader, Associate Contract type Permanent Contract Management position No Job summary Summary The Global Repo and Indexing business line, within the Global Markets Division, is looking for junior level candidate to join its Credit Repo and Secured Lending team in New York. The role would involve: 1) assisting senior traders with daily tasks such as P&L calculations and risk monitoring 2) assisting senior traders with the pricing and execution of structured transactions 3) risk analysis of transactions and collateral obligations The ideal candidate would have a post-graduate degree in an analytical field.
Experience as a corporate credit analyst at a rating agency or equivalent a strong plus. Understanding of securitization structures, techniques and documentation helpful. Strong problem-solving and critical thinking skills are a pre-requisite.
A native or fluent level of English is expected to be spoken. Key Responsibilities Transactions Analyze, understand and price transaction risk and use of scarce resources to optimize risk/return Execute transactions in accordance with established risk management procedures and risk parameters. Identify market opportunities and formulate trading strategy to optimize risk/return.
Input all executed trades directly into the Front Office Systems in a timely manner. Monitor and manage position risk. Partner with Structuring and Sales in providing client solutions Partner with and inform risk functions including obtaining risk approvals as necessary Keep abreast of the markets and risk by staying informed of economic, regulatory and technological changes Management and Reporting Report Daily pnl, risk and key market movements to management and partners as required Escalate issues requiring management attention Mandate Ensure strict compliance with the mandate attributed to the desk Sign the mandate in the MRL tool according to the procedure currently in place with the Bank Ensure that processes are in place for appropriate identification, escalation, review and response to any actual or potential violation of the regulations.
Risk Establish relationships with key risk functions Contribute to the evolution of overall risk parameters and processes. Assist with managing and hedging the overall risk of the Repo & Secured Funding portfolio on an intra and inter day basis. Ensure adherence with regard to position and risk limits.
o Ensure adherence to the overall risk limits, including both credit and market risk, as set for Repo & Secured Funding. o Ensure adequate systems and information flow to allow monitoring and management of these risks. Salary Range: $130k-$160k #LI-DNI Supplementary Information o Ensure that other categories of risk to which the Company is exposed (e.g
legal, operational, and reputational risk) are identified to the extent possible within the trading function. Such risks should then be delegated, documented and managed as appropriate within acceptable levels. Risks manage the trading book for which responsible.
Maintain such risks within the risk limits delegated by Market Risk together with any additional limits imposed to Repo & Secured Funding. Counterparties and clients Develop and maintain relationships with peers in other organisations as applicable. Represent the firm with external organizations (e.g., industry or product committees, and regulatory or governing bodies) if requested
Notify Trading management and Back Office immediately of any and all trading disputes with counterparties. Ensure adherence to KYC procedures and policies. Communication Contribute to discussions with the other members of Repo & Secured Funding Trading teams as requested and as appropriate to review market strategy and exchange ideas and any other pertinent information.
Attend regular meetings or conference calls with the other members of Repo & Secured Funding Trading group as requested and as appropriate to review market strategy and exchange ideas and any other pertinent information. Position location Geographical area America, United States Of America City NEW YORK Candidate criteria Minimal education level Bachelor Degree / BSc Degree or equivalent Academic qualification / Speciality Education Requirements o Bachelor's degree, preferably in an analytical area, followed by appropriate market relevant working experience. o Experience in trading and risk managing a trading book, where applicable.
o Experience as a credit analyst. Level of minimal experience 3-5 years Experience Communication cont'd Maintain open and constructive relationships with Sales and Structuring in executing transactions and building business Maintain open and constructive relationships with key risk functions Ensure that the relevant managers are made fully aware in a timely fashion of all matters that might have a material impact on the Repo & Secured Funding's group performance, risk position or compliance with legal or regulatory requirements. Liaise closely with global overseas offices Key Internal Contacts, where relevant GRI team Chief Operating Officer (Global Business Manager) team Sales Structuring Market Risk Counterparty Risk Compliance Market Activity Monitoring (MAM) Back office/Middle office (trade processing and settlements) Key External Contacts, where relevant Clients/Counterparties Brokers Control Ensure any warning signals of emerging issues in the business are followed up; ensure appropriate investigation and any appropriate remedial action.
Address, in the suggested timeframe, any points or recommendations made by internal or external auditors or regulators. Required skills Team oriented. Excellent communication skills and able to coordinate effectively with other Senior Managers, Sales, Structurers and Quants.
Ability to think quickly, make decisions using good judgement and prioritise in busy trading situations. Ability to remain calm under pressure. Technical skills required IT literate.
Credit analysis skills. Strong numerical, analytical and spreadsheet skills. Systems Used Internal Outlook, Office, Intranet; Apex, Orchestrade External Bloomberg; Reuters.
Legal and Regulatory Responsibilities Comply with all applicable legal, regulatory and internal Compliance requirements, including, but not limited to, the London Compliance manual and the Financial Crime Policy. Complete any mandatory training in line with legal, regulatory and internal Compliance requirements. Maintain appropriate knowledge to ensure to be fully qualified to undertake the role.
Complete all mandatory training as required to attain and maintain competence. Refrain from taking any steps which could lead to the removal of certification of fitness and propriety to perform the role. Undertake all necessary steps to satisfy the annual certification process.
Comply with all applicable conduct rules as prescribed by the relevant regulator Languages English