UniCredit Bank
Client Solutions - Client Risk Management
Job Location
Milano, Italy
Job Description
UniCredit is a pan-European Commercial bank with a unique service offering in Italy, Germany, Central and Eastern Europe We serve over 15 million customers worldwide. They are at the heart of what we do in all our markets. UniCredit is organized into four core regions and two product factories: Corporate and Individual Solutions. This structure enables us to be close to our clients and leverage the scale of the entire Group to develop and offer the best products across all markets. Client Solutions aims to deliver excellence by leveraging our best-in-class product and service platform to benefit all four regions. By combining the strengths of our two product factories and collaborating with our global network of client partners, we provide customized solutions tailored to local needs while achieving economies of scale, delivering competitive value-added services across the Group. Job Purpose / Summary As a member of the Securities Finance team, the Trader's main responsibility will be trading and risk managing relevant product offerings, including: Securities Financing Transactions - securities lending and borrowing for flow and specials trading, repo and reverse repo, in both flow and structured forms (evergreen, extendible) Linear Equity Derivatives - OTC total return equity swaps Corporate actions transactions (e.g., rights and tenders) Financing and Collateral Trading The role involves pricing, executing, and risk managing client transactions, working as part of a trading team managing the central inventory pool of the Cross Assets business, and managing collateralization transactions with asset managers in derivative form. Underlying assets include equities, ETFs, convertible bonds, and fixed income. Key Responsibilities / Accountabilities Work to achieve the revenue budget for the Securities Finance area, while managing risk according to the bank's risk appetite, observing trading limits, and complying with applicable laws and regulations. Collaborate closely with other Traders and Institutional Sales teams to service and grow institutional client activity, continually providing a competitive product offering. Partner with internal stakeholders such as Operations, Collateral Management, Market and Credit Risk, and Product Control to meet business objectives and ensure compliance with control requirements. Develop and improve trading and inventory management tools using VBA / Python. Work with system developers and business teams to implement new business requirements for primary trading systems. Requisiti Knowledge Deep understanding of securities products and markets, including corporate actions Expertise in relevant legal and regulatory frameworks Knowledge of trading systems for securities financing and derivatives Skills Strong analytical, numerical, and problem-solving skills Effective communication abilities Motivated, results-driven, team player Qualifications / Training Bachelor’s degree (minimum), Master’s preferred in finance, economics, engineering, mathematics, or related fields Previous Experience At least 2 years in a trading role on an equity finance or prime services desk Experienced University J-18808-Ljbffr
Location: Milano, Lombardia, IT
Posted Date: 8/17/2025
Location: Milano, Lombardia, IT
Posted Date: 8/17/2025
Contact Information
Contact | Human Resources UniCredit Bank |
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