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Repo Trading Jobs (NOW HIRING)

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 ...

Act as the main point of contact with the US Repo officers (traders, sales, middle office) based in New York office regarding the various tools they use (pricing, reporting, deal analysis, data ...

Equity Delta-One & TRF Trader

Chicago, IL · On-site

$100K - $140K/yr

Minimum of 3 years of demonstrable success in a Delta-One, equity swap, or dividend trading role. * Technical Market Expertise: Deep, nuanced knowledge of equity forward mechanics, financing/repo ...

It involves a high degree of partnership across the team, Macro Sales and Trading leadership, CIB ... Work closely with Repo leadership and Macro Management to define key business metrics to track the ...

$14.25 - $18.75/hr

Vous assisterez les traders Seniors du desk de l'activité Cash Financing Solutions Repo dans la gestion des données analytiques et coûts du desk au quotidien et des sujets en lien avec le suivi ...

... Repo and Financing desks, Equity Trading, and Institutional Investor Sales Desk. * Provide end-to-end trade and sales support for Global Markets businesses including Rates, Credit, Structured ...

... Repo and Financing desks, Equity Trading, and Institutional Investor Sales Desk. * Provide end-to-end trade and sales support for Global Markets businesses including Rates, Credit, Structured ...

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Repo Trading information

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$14

$36

$50

How much do repo trading jobs pay per hour?

As of Jul 21, 2026, the average hourly pay for repo trading in the United States is $36.54, according to ZipRecruiter salary data. Most workers in this role earn between $22.36 and $46.15 per hour, depending on experience, location, and employer.

What is the difference between Repo Trading vs Equity Trading?

AspectRepo TradingEquity Trading
Primary FocusFacilitating short-term borrowing/lending using repurchase agreementsBuying and selling stocks to generate profit
Required CredentialsFinance or Economics degree, possibly CFAFinance, Economics degree, CFA often preferred
Work EnvironmentTrading desks, financial institutions, banksStock exchanges, trading floors, investment firms
Industry UsageBanking, fixed income marketsEquity markets, investment firms

Repo Trading involves short-term lending using repurchase agreements, primarily in fixed income markets, while Equity Trading focuses on buying and selling stocks. Both roles require finance-related credentials and are based in trading environments, but they serve different market segments and investment strategies.

What are the key skills and qualifications needed to thrive as a Repo Trader, and why are they important?

To thrive as a Repo Trader, you need a solid understanding of fixed income markets, financial instruments, and quantitative analysis, often supported by a degree in finance, economics, or a related field. Familiarity with trading platforms (such as Bloomberg or Tradeweb), risk management systems, and relevant regulatory certifications are typically required. Strong analytical thinking, attention to detail, and effective communication skills help set top performers apart in this role. These skills and qualities are essential for managing risk, executing trades efficiently, and maintaining client relationships in a dynamic market environment.

What is repo trading?

Repo trading refers to the buying and selling of repurchase agreements (repos), which are short-term loans where one party sells securities to another with an agreement to repurchase them at a later date, usually at a slightly higher price. This process allows institutions to secure short-term funding or invest excess cash efficiently. Repo trading is fundamental to the functioning of money markets, as it provides liquidity and facilitates the smooth operation of financial systems. It is commonly used by banks, investment firms, and other financial institutions to manage their cash and securities portfolios.

What are some of the main challenges faced by professionals working in repo trading, and how can new hires prepare for them?

Repo trading professionals often face challenges such as managing liquidity risk, staying updated on rapidly changing market conditions, and ensuring compliance with complex regulatory requirements. New hires can prepare by developing strong analytical skills, gaining familiarity with financial regulations, and staying current with market news. Building good communication and teamwork skills is also essential, as repo traders frequently collaborate with sales, risk, and operations teams to execute trades efficiently and manage exposures.
More about Repo Trading jobs
What cities are hiring for Repo Trading jobs? Cities with the most Repo Trading job openings:
What states have the most Repo Trading jobs? States with the most job openings for Repo Trading jobs include:
What job categories do people searching Repo Trading jobs look for? The top searched job categories for Repo Trading jobs are:
Infographic showing various Repo Trading job openings in the United States as of July 2026, with employment types broken down into 4% Internship, 1% As Needed, 83% Full Time, 3% Part Time, 5% Contract, and 4% Nights. Highlights an 81% Physical, 7% Hybrid, and 12% Remote job distribution, with an average salary of $76,005 per year, or $36.5 per hour.

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Re-posted 28 days ago


Job description

Prime Brokerage Securities Financing: 

  • Provide short coverage and long financing on securities to Prime clients;
  • Develop tool for monitoring financing Trading opportunities while monitoring cost of financing via different structures leveraging on P&L analytics, client reports and SG APIs.
  • Develop tool for anticipating Short Coverage against client locate ratios and internalization metrics while maintaining a profitable book
  • Focus on Funding of the Equity PB activity, especially Term Commitments
  • Provide financing solutions to Prime clients on specific assets/situations while optimizing liquidity binding constraints (ILST) of the US broker dealer;
  • Work closely with other teams to build interactions and synergies on secured financing;
  • Develop strategies in order to increase a book of business in a sustainable way for target diversified and recurring revenue;
    • Optimize the global book position and the scarce resources (mainly cash consumption, liquidity ratios, balance sheet) including:
  • Work on innovative solutions to service the business, pledge structure analysis and use client reports to find potential netting patterns or propose solution to improve the profitability.
  • Manage the day-to-day risk, position management, risks follow-up and Profit & Loss (PNL) explanation.
  • Maintain understanding of financial markets, competitors, and clients to develop own trading position; and
  • Maintain up to date intelligence on market initiatives and products in the trading environment.
  • Drive and support enhancing IT development of tools and systems to develop SG's trading capability and efficiency (e.g. automation, pricing engines, development of analytical tools and new hedging as applicable);
  • Ensure adherence to trading risks (DV01, VaR, stress testing) in collaboration with the Risk management department;
  • Evaluate and analyze market conditions, regulations and financial information to identify investment opportunities;
  • Understanding and backup of CCM activity would be a plus (Clearing Collateral Management):
    • 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 targets;
    • Manage borrowings from Treasury including optimizing placements / investments and returns;
    • Execute forex hedging to support single currency margining product; 
       

Within Societe Generale Corporate & Investment Banking, the Global Markets Division brings together the Research, Investment and Risk Management Solutions, Execution and Clearing, Prime Services, Equities, Fixed Income, Futures and Currencies & Commodities structuring capabilities with the objective of providing investors with one integrated multi-asset market solutions team. The business uses an advisory and innovation mindset, focused on client needs, with a global leader in financial markets engineering. Global Markets is a leading player in derivatives, with unrivaled over the counter and listed derivatives expertise, as well as cross-asset and economic research.  Our prime services' offering is a unique combination of execution, clearing, custody and financing services.

  • VP level candidate with 10yr experience in
  • Securities Financing Trading space with specifically experience in Equity Prime Brokerage / Equity Financing / Stock Loan in a bulge Prime broker
  • Senior understanding of Balance Sheet/Liquidity concepts impacting the business design (especially in the US, LST, etc) 
  • Capacity to drive change in teams and work with different teams (team player)
  • Strong appetite for platform enhancement and building mindset to deliver customer value and efficiency