Balyasny Asset Management L.P. (BAM) is a global institutional investment firm. We strive to deliver consistent, uncorrelated, absolute returns in all market environments by fostering a culture of research, innovation, and collaboration.
BAM exists at the intersection of finance and technology, combining the deep industry knowledge of leading portfolio managers and financial analysts with software engineers and quantitative researchers. We leverage the collective expertise of our teams to seek out new investment opportunities, analyze market conditions, minimize risk, and provide superior service to our investment partners.
With 2,000+ people in offices around the world, we embrace a culture that welcomes the free flow of ideas, promotes career development, and supports the health and wellbeing of our people through world-class benefits.
We are seeking an experienced repo trader to join the Treasury function, to be based either in Hong Kong, Singapore or Tokyo. This is a critical, high-impact role that sits at the intersection of trading, treasury, and operations - partnering directly with Portfolio Managers and trading desks to manage repo financing, collateral optimisation, and balance sheet strategy.
Key Responsibilities Include:
Manage and optimize financing for the APAC fixed income portfolio across repo, TRS, and other financing channels
Partner with Traders & Portfolio Managers to provide actionable financing market color, pricing analysis, and counterparty intelligence
Build and maintain strong relationships with funding counterparties to improve pricing, increase capacity, diversify counterparty access, and support entry into new markets
Work cross-functionally with business teams to support new business activity
Proactively drive strategic initiatives to optimize funding of a growing FI portfolio
Collaborate with Technology to enhance tooling, automate workflows, and refine existing financing infrastructure
Qualifications and Requirements:
7+ years of directly relevant repo experience with focus on APAC markets
Strong understanding of APAC market structure (both DM and EM), counterparty landscape, and the practical considerations involved in financing fixed income positions across jurisdictions
Proven ability to build strong internal partnerships and external counterparty relationships
Demonstrated track record of improving processes, workflows, and infrastructure through automation and technology
A Proprietary Research Analyst is a valuable member of our research team and is responsible for gathering and analyzing information from a variety of sources to provide insights that directly influence the investment decisions in our fund. Key Responsibilities: Research Companies & Industries: Utili...
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