Bank Funding Trader-FX Hedging (CFO)
Company: Bank of America
Location: Charlotte
Posted on: April 2, 2026
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Job Description:
Job Description: At Bank of America, we are guided by a common
purpose to help make financial lives better through the power of
every connection. We do this by driving Responsible Growth and
delivering for our clients, teammates, communities and shareholders
every day. Being a Great Place to Work is core to how we drive
Responsible Growth. This includes our commitment to being an
inclusive workplace, attracting and developing exceptional talent,
supporting our teammates’ physical, emotional, and financial
wellness, recognizing and rewarding performance, and how we make an
impact in the communities we serve. Bank of America is committed to
an in-office culture with specific requirements for office-based
attendance and which allows for an appropriate level of flexibility
for our teammates and businesses based on role-specific
considerations. At Bank of America, you can build a successful
career with opportunities to learn, grow, and make an impact. Join
us! Job Description: This role is responsible for the
implementation of funding and hedging strategies in partnership
with Lines of Business stakeholders. Key responsibilities include
pricing, executing and recording trades, funding transactions
across international entities, ensuring operational cohesiveness
and performing investor and dealer analysis. Job expectations
include evaluating funding opportunities with partners across the
client companies, providing analytics and recommendations to
leaders. Global Portfolio Risk Management (FX Hedging Team) is
looking for an analyst to learn and execute enterprise efficient
hedging strategies, help ensure risk positions and settlement
activity remain accurate and well controlled, develop ability to
understand how global economics impact foreign currency and
interest rate markets, deepen understanding of the Global Funding
organization, and connect how Enterprise priorities help us to be
more efficient and effective driving responsible growth and
creating shareholder value. Responsibilities: Monitors market
conditions, providing reporting and analytics of Foreign Exchange
(FX) and Non-USD interest rate markets and applicable portfolio and
risk management strategies. Conducts research and can clearly
articulate a market perspective across FX, Rates, Repo and other
markets related to funding as well as asset and liability
management. Develops thorough understanding of Central Bank
monetary policy globally; analyzes impacts to short-term money
market rates and liquidity resulting from changes in policy.
Develops, optimizes, and executes funding/hedging strategies and
transactions. Participates in Line of Business cash and liquidity
forecasting routines to identify risks and ensure compliance within
relevant liquidity risk limits and guidelines. Performs extensive
ad-hoc financial analysis related to funding risks and
opportunities and/or designs, implements and enhances quantitative
models. Identifies and implements ongoing process improvements to
drive process efficiency and ensure activities are accurate and
well-controlled. Required Qualifications : Minimum 2 years’
experience in banking industry Advanced Excel, modeling, and
comfort working with large data sets Desired Qualifications :
Foundational knowledge of FX, Interest Rate markets, and Portfolio
Management concepts Bachelor’s degree in finance, economics or
engineering Market execution/FX trading experience Familiarity with
Bank systems, derivative regulations and Bloomberg software Strong
interpersonal and communication skills with demonstrated experience
of working collaboratively and influencing across multiple
stakeholder groups. Experience with providing reporting and
submitting data for senior level management reporting, or similar
types of reporting. Innovative team player who can generate new and
creative ideas to complex problems. Self-starter with the ability
to work with limited supervision. Passion to learn and positive
attitude to navigate stressful and unexpected market environments.
Knowledgeable of Bank balance sheet and legal entity structure
Basic python/SQL knowledge and experience, or strong desire to
learn. Foster a culture of teamwork and winning together. Skills:
Price Verification and Valuation Trading Trading and Investment
Analysis Investment Management Problem Solving Trade Monitoring
Trading Strategy Business Analytics Causation Analysis Data and
Trend Analysis Research Analysis Financial Analysis Python / SQL
PowerPoint and Excel Shift: 1st shift (United States of America)
Hours Per Week: 40
Keywords: Bank of America, Winston-Salem , Bank Funding Trader-FX Hedging (CFO), Accounting, Auditing , Charlotte, North Carolina