SALES INSTITUTIONAL FICC FLOW ANALYST I
BBVA
Posted: March 27, 2026
Interested in this position?
Create a free account to apply with AI-powered matching
Quick Summary
The SALES INSTITUTIONAL FICC FLOW ANALYST I role involves working closely with clients across the full range of Macro flow products, including derivatives, swaps, and other financial instruments. Key responsibilities include client servicing, trade execution, and risk management, with a focus on delivering high-quality service to a large and diverse client base.
Required Skills
Job Description
¿Te entusiasma hacer crecer tu carrera?
BBVA es una compañía global con más de 160 años de historia que opera en más de 25 países donde damos servicio a más de 80 millones de clientes. Somos más de 121.000 profesionales trabajando en equipos multidisciplinares con perfiles tan diversos como financieros, expertos legales, científicos de datos, desarrolladores, ingenieros y diseñadores
Job Purpose & Objectives
As a member of the Macro Flow Sales team you will be responsible for the day-to-day client servicing and execution of trades on the desk across the full range of Macro flow products (FX, Rates, Repo/Securities Financing) within BBVA. Your coverage will be institutional clients, with a geographic allocation dependent on where your current experience lies and/or where you
have an existing portfolio of accounts.
Key Responsibilities
• Work with our trading, structuring and research teams globally to provide comprehensive client coverage, including trade ideas and market intelligence
• Be responsible for the end-to-end trade execution process from taking client orders, to booking and post-trade support for clients across the desk
• Assist the team in active client relationship management, working on strategies to deepen existing wallets as well as developing your own client base
• Demonstrate proficiency in understanding market drivers and identifying product opportunities
• An eagerness to learn about our different business lines and gain expertise across products
• Production of daily written commentary for distribution to BBVA’s APAC client base
• Product coverage includes FX, Repo/SFTs & Rates
• Some cross-coverage of Credit-focused accounts would also be beneficial
Qualification & Experience
• University Graduate, major in a numerical or engineering subject preferred
• 0-2yrs’ experience in FX or Macro Sales covering institutional clients.
• Familiarity with the flow of FX/Fixed Income markets Portable relationships in a particular client segment (FI, NBFI, HFs, RM, etc)preferred
• HKMA Type 1 license holderpreferred
• TMA Member (ATMP, CTMP, or CSTMP)preferred
Knowledge & Skills
• Experience using key markets platforms: Bloomberg, Reuters FXT/Eikon, FXall, etc
• A high degree of competence with Microsoft Office and/or Google Enterprise software
• Capable of navigating large data sets & distilling insights
• Fluency in written and spoken English, Cantonese and/or Mandarin
• Proficiency in additional languages (e.g. Japanese, Korean) would be considered a plus
Other Skills (e.g. Interpersonal, Communication etc)
• Ability to work efficiently under self direction with minimal supervision
• Demonstrable commercial awareness when engaging with clients
• Responsible and dedicated to the job, committed to compliance with internal procedures
• Strong interpersonal and communication skills
• Able to work in a matrix reporting structure, in a multi-functional role with close collaboration with teams in Madrid, London, New York and Latin America
Job Posting
BBVA Hong Kong will conduct a background check on you in accordance with the Mandatory Reference Checking (MRC) Scheme regulated by the Hong Kong Monetary Authority (HKMA). Should any discrepancy identified or deemed unsatisfactory to us, we reserve the rights to terminate your employment in such case. (FAQs for In-Scope Individual: https://www.hkab.org.hk/files/page/page-content/79/FAQs_for_In-Scope_Individuals_(24_July_2025)-1753348029.pdf)
Habilidades:
Comunicación interpersonal