Capital Markets Portfolio Trader

Oxford Solutions

$100K — $120K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • B.S. in Finance, Economics, Accounting, or related field preferred.
  • MBA or CFA credential is a plus.
  • 5-7 years of experience in banking, financial services, capital markets, or treasury.
  • Working knowledge of fixed income markets is essential.
  • Familiarity with Agency debt, Agency MBS, U.S. Treasuries, derivatives, repo, and Fed funds.
  • Strong proficiency in Excel and PowerPoint is required.
  • Experience with Bloomberg software is necessary.

Responsibilities

  • Execute and support fixed income and short-term funding transactions.
  • Monitor interest rates, spreads, market conditions, and portfolio performance.
  • Support liquidity, funding, and balance-sheet management activities.
  • Analyze portfolio holdings, exposures, and transaction opportunities.
  • Prepare financial reports, market analysis, and management presentations.
  • Coordinate with treasury, finance, accounting, and risk teams.
  • Maintain accurate transaction and portfolio records.

Benefits

  • Direct-hire position ensures job stability and commitment.
  • Onsite work fosters collaboration and team integration.
  • Opportunity to support significant financial activities in a banking environment.
  • Engagement with diverse teams including treasury and risk strengthens professional networks.
Full Job Description
Oxford Solutions is seeking a Capital Markets Portfolio Trader for a direct-hire, onsite opportunity with our client. This role supports fixed income portfolio activity, market execution, liquidity management, and financial analysis within a banking environment.

The ideal candidate will bring a combination of capital markets knowledge, analytical ability, and banking experience. This position is well suited for someone comfortable evaluating market conditions, executing transactions, and supporting portfolio and balance-sheet initiatives.

Responsibilities
  • Execute and support fixed income and short-term funding transactions.
  • Monitor interest rates, spreads, market conditions, and portfolio performance.
  • Support liquidity, funding, and balance-sheet management activities.
  • Analyze portfolio holdings, exposures, and transaction opportunities.
  • Prepare financial reports, market analysis, and management presentations.
  • Coordinate with treasury, finance, accounting, and risk teams.
  • Maintain accurate transaction and portfolio records.

Qualifications
  • B.S. in Finance, Economics, Accounting, or a related field preferred.
  • MBA or CFA is a plus.
  • 5-7 years of experience in banking, financial services, capital markets, treasury, or a related area.
  • Working knowledge of fixed income markets.
  • Familiarity with Agency debt, Agency MBS, U.S. Treasuries, derivatives, repo, and Fed funds.
  • Strong Excel and PowerPoint skills.
  • Familiarity with Bloomberg.
Capital Markets Portfolio Trader - 26-00674

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