Full-Time

Senior Trader - Bank Funding

Global Funding, Treasury Capital Markets Execution

Posted on 9/3/2025

Bank of America

Bank of America

10,001+ employees

Global banking, investing, and wealth management

No salary listed

Charlotte, NC, USA

In Person

Category
Finance & Banking (1)
Required Skills
Financial analysis
Excel/Numbers/Sheets
PowerPoint/Keynote/Slides
Requirements
  • 7+ years finance or markets experience (Treasury, Trading, or Finance)
  • Understanding of markets, liquidity, financial math and risk
  • Strong Excel and PowerPoint skills
  • Strong analytical and decision-making skills
  • Critical thinking, attention to detail, analytical and investigative problem solving skills
  • Ability to work independently, with a team, with minimal supervision and efficiently prioritize tasks
  • Ability to communicate effectively across a broad range of constituents in verbal, written and presentation forms
  • Ability to build and maintain strong relationships across the Enterprise
  • Ability to thrive in a fast-paced, demanding environment, adapt to changing priorities and demonstrate initiative
  • Inquisitive, willing to challenge the status quo and strive to improve processes
  • Comfortable leading an initiative as well as playing a support role on a broader team
Responsibilities
  • Develop strategies for funding execution, assessing market capacity, diversification, and financial impacts based on qualitative and quantitate analysis
  • Manage real-time deal execution process of debt and capital instrument offerings and communicate relevant deal updates to internal leadership and regulators
  • Analyze, propose, and execute strategic liability management actions to achieve targeted optimization of key metrics (P&L, NII, regulatory ratios, etc.)
  • Monitor and analyze trends in the primary and secondary global debt and capital markets, with a primary focus on BAC and peer debt and capital instruments, to provide market insight, communicate risks and actionable recommendations to Global Funding leadership
  • Engage with external counterparties (syndicate, debt capital markets, traders and diversity firms) on markets and deal-related dialogue
  • Maintain knowledge of current and proposed regulations to understand potential market and company-specific impacts
  • Monitor market environment and anticipate how external market factors may affect access to funding. React appropriately and elevate key risks
  • Ensure ready access to market funding sources, including operational preparedness and program documentation necessary to transact across all product capabilities of the desk
  • Produce liability and capital footprint analytics for management reporting and ad hoc financial analysis
  • Produce concise presentations and email summaries of market analyses and conclusions
  • Participate in stress testing and recovery and contingency planning exercises, providing expertise on funding dynamics in various scenarios
  • Prepare routine materials for regulators and coordinate responses to ad hoc requests
  • Perform ad-hoc projects, financial analysis related to the Company's debt and capital security footprint and prepare management reporting
  • Implement routines and a robust control environment that achieves compliance with all policies, procedures and directives relating to execution
  • Engage with Global Markets team to understand structured note forecasts, risks, and opportunities to facilitate responsible growth of business
Desired Qualifications
  • Undergraduate degree with economics, finance, or quantitative focus or related work experience
  • Strong understanding of fixed income and currency markets, in particular debt and capital instruments
  • Familiarity with financial regulatory environment
  • Bloomberg and other market sources
  • SQL and/or other advanced data manipulation skills
  • Tableau
  • Python
  • CFA

Bank of America provides a full range of financial services to individuals, small businesses, and large corporations, including banking, investing, asset management, and risk management products. Customers access services via branches, online and mobile banking, and advisory and trading capabilities across consumer banking, wealth management, corporate and investment banking. Its breadth, scale, and global reach enable cross-service solutions and large-scale operations that few peers match. Its goal is to be a trusted, full-service financial partner helping customers manage money, grow assets, and navigate risk.

Company Size

10,001+

Company Stage

IPO

Headquarters

Charlotte, North Carolina

Founded

1904

Simplify Jobs

Simplify's Take

What believers are saying

  • Tokenized deposit rails can defend payments volume from stablecoins and fintech wallets.
  • Cross-border real-time payments can deepen treasury client stickiness and fee retention.
  • Branch expansion and hiring strengthen local coverage in growth markets and talent pipelines.

What critics are saying

  • JPMorgan and Citigroup’s tokenized network threatens Bank of America’s payments volume and fees.
  • Slow adoption of Swift and CashPro real-time payments risks client migration to faster rivals.
  • Heavy branch expansion raises fixed costs if customers continue shifting online.

What makes Bank of America unique

  • Bank of America combines global scale with 56 million U.S. consumer and small-business relationships.
  • Erica and CashPro support 30 billion annual client interactions and record digital usage.
  • Its branch network is being repositioned for advice, not transactions, under CEO Brian Moynihan.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

Paid Vacation

Paid Sick Leave

Flexible Work Hours

Remote Work Options

Professional Development Budget

Conference Attendance Budget

Growth & Insights and Company News

Headcount

6 month growth

-8%

1 year growth

-8%

2 year growth

-8%
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