Associate Director, Loan Trading, Europe

Standard Chartered
London, GB
On-site

Job Description

Requisition Number: 53652

Job Location: London, GBR

Global Grade: Band 6

Work Type: Office Working

Employment Type: Permanent

Posting Start Date: 08/05/2026

Posting End Date: 22/05/2026

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Job Summary

The Associate Director, Loan Trading, Europe plays a critical role within Standard Chartered's dynamic Loan Trading desk based in London. This position demands a well-rounded professional accountable for implementing comprehensive loan trading strategies, specifically targeting broadly syndicated leveraged loans. The successful candidate will be responsible for managing the leveraged loan portfolio, ensuring alignment with the desk's income and Return on Risk-Weighted Assets (RoRWA) targets as stipulated in the Annual Corporate Plan. This role requires not only a strong conviction in identifying optimal buy and sell opportunities but also vigilant awareness of risk parameters and prevailing market liquidity conditions prior to initiating trades. Post-trade responsibilities encompass rigorous monitoring of mark-to-market valuations, credit exposures, and managing market risks to optimise portfolio performance. This pivotal position directly reports to the Global Head of Loan Trading and necessitates proactive communication, strategic insight, and strong accountability for income outcomes, contributing significantly to Standard Chartered's fixed income trading capabilities and overall markets division objectives.

Beyond transaction execution, the role demands strategic input into trading philosophies, fostering effective collaboration across sales teams, risk management, legal, compliance, and operations to maintain robust governance standards. This function supports Standard Chartered’s commitment to excellence in market practices and adherence to regulatory frameworks, facilitating sustainable growth and long-term value creation in a complex and evolving financial landscape.

Key Responsibilities

  • Lead the trading of leveraged loans, taking full accountability for RoRWA performance and funding of the leveraged loan portfolio to maximise profitable returns while managing associated risks effectively.
  • Develop and refine trading strategies, engaging in active book management by churning inventory within defined issuer and ageing risk limits to maintain liquidity and optimise holding periods.
  • Oversee all procedural and operational aspects required for accurate risk entry and exit across trading and hedging activities, ensuring seamless execution and compliance.
  • Demonstrate strong market insight and trading acumen to proactively identify and act upon buy and sell opportunities that align with client demand and risk appetite.
  • Collaborate closely with Market Sales counterparts to source trade ideas, leveraging client relationships to identify market inefficiencies and bespoke opportunities.
  • Champion a compliance-first culture by embedding internal controls and adhering rigorously to external regulatory requirements, promoting transparency and integrity within trading activities.
  • Work alongside key stakeholders, including Traded Risk Management, Legal, Compliance, and Operations teams, fostering an inclusive and collaborative working environment supporting Standard Chartered’s desired people culture.
  • Monitor and enforce compliance with issuer and portfolio ageing limits set by risk management, integrating operational risk monitoring as a core business process to uphold firm-wide risk standards.

Skills and Experience

  • Proven expertise in trading leveraged/par loans, with a deep understanding of the nuances of broadly syndicated loan markets.
  • Solid grasp of risk‑weighted assets, capital usage, and balance sheet/funding considerations.
  • Track record of generating consistent profits through accurate credit selection and tactical buy/sell decisions, contributing positively to RoRWA and income targets.
  • Strong grasp of customer behaviour and market preferences, enabling tailored trade execution strategies that meet diverse client needs.
  • Extensive knowledge of investments and portfolio management principles, including assessment and mitigation of market risk.
  • Demonstrated ability to evaluate complex credit risk profiles, identify profitable trading opportunities, and manage risk exposures within a bank’s trading book.
  • Exceptional communication and interpersonal skills to facilitate collaboration with internal teams and external market participants.
  • Strong analytical skills and the capacity to make sound, risk-aware decisions under conditions of market uncertainty and ambiguity.

Qualifications

  • Strong academic backround from reputable university

About Standard Chartered

We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before.

Skills & Requirements

Technical Skills

Finance

Employment Type

FULL TIME

Level

senior

Posted

5/8/2026

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