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Standard Chartered Bank Recruitment 2022 || Apply Now – Principal, Rates & Credit Trading, Nigeria

Standard Chartered Bank Recruitment 2022 || Apply Now – Principal, Rates & Credit Trading, Nigeria

Standard Chartered Bank Recruitment 2022 || Apply Now – Principal, Rates & Credit Trading, Nigeria

Application is currently open for Standard Chartered Bank Jobs in Nigeria –  Recruitment Position: Principal, Rates & Credit Trading, Nigeria – 2022 May/June Job Recruitment. Hurry Now And Apply

ABOUT || Standard Chartered Bank 

Standard Chartered Bank Nigeria – We seek out talented people. Not only can they provide you with the benefit of their expertise, but they can also provide you with a more intimate perspective on the vast array of worldwide prospects we provide. Our emphasis on employee engagement is central to the Group’s personnel strategy.

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Engagement is a fundamental driver of productivity and performance, which forms the basis of our culture of performance. We encourage and emphasize the behaviors that bring out the best in every employee, evaluating their performance not only based on results but also on how those achievements were obtained. To further instill these behaviors, we have established a compensation structure to incentivize our staff to follow our values every day.

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We are recruiting to fill the position below:

How To Apply For Standard Chartered Bank Recruitment 2022

JOB TITLE:  Associate Principal

Ref No: 2200011151
Location: Lagos
Schedule: Full-time
Job: Institutional Banking
Employee Status: Permanent

RESPONSIBILITIES ||  Principal, Rates & Credit Trading, Nigeria At Standard Chartered Bank

  • To trade in the local rates and credit market, pricing customer transactions, and managing short-term positions, in order to maximize revenue at acceptable risk in compliance with the Volcker rule and other applicable global or local regulations.
  • Provide an accurate and timely Fixed Income pricing service to FM Sales staff, to meet customer needs at competitive prices.
  • Transact trades on the Bank’s own account, to generate revenue or hedge risk, with knowledge of customer-based transaction flows, and in anticipation of future changes in the market derived from economic and technical analysis.
  • Manage the portfolio risk generated in trading by adhering to approved GMR limits and seeking excess approvals where necessary.
  • Enhance SCB’s name as one of the major players in the primary as well as secondary trading of Fixed Income securities. To maintain SCB ‘s standing as one of the active Principal/Primary Dealers in the local bond market.

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  • Establish and maintain good contact with the local Central Bank regulators as well as their dealers.
  • Work closely with the Debt Capital Market on the pricing of primary debt issues, and also assist the Distribution desk by providing the market feel and sentiment to support their selling down strategy
  • Work closely with the Structuring Team.
  • Establish and maintain a network of relationships with other SCB Global Markets Centres, in particular, other Fl trading counterparts to maintain communication on global market movements.
  • Monitor regulatory and market developments and provide feedback on the market and the business to the sales and management.

Key Stakeholders

  • Relationship Managers in OCC/Credit for building the trading franchise.
  • FM sales teams across relevant jurisdictions.
  • Other product partners.
  • DCM team for the capital markets business.
  • Sales and trading counterparts in other Fl trading centers for networking & information
  • Back office, middle office, and product control for processing and Risk Control.
  • Local and regional head(s) of Global markets.
  • Regional Head of Fl Trading, Africa

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  • Money/Bond Dealers and brokers
  • Central Bank and Securities Commission

Contributes to:

  • To the profitability of the Fl Trading team via a strategic portfolio mix, and also via leveraging on customers’ flows.
  • To the enhancement of the Bank’s image and profile in the market via the active trading, active provision of two-way prices, and acting professionally at all times.


  • Profitability
  • Average Trading volumes

Complexity / Judgement:

  • Assessment of the market’s sensitivity to price changes for certain bonds / IRD product
  • Understanding of the impact of political and economic changes on the market sentiment
  • Understanding of legal requirements and its application in practice

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APPLICATION CLOSING DATE || 24th May 2022 at 11:59:00 PM


For Interested and qualified applicants please Click the link below:


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