A global $30bn+ trading firm are seeking an Equity Vol PM to join a rapidly growing options team. They have built one of the world’s most sophisticated computing environments for research and development, bringing a scientific approach to trading financial products.
Responsibilities:
* Taking positions in Equity Options markets using volatility strategies
* Communicating with Risk & Trading management teams about strategies and reasons for taking certain risks
* Keeping track of trade execution costs & market impact and reporting this back
* Supporting analytics and back-testing framework for your trades by working with Quant and Data teams
* Mentoring junior traders
Requirements:
* Multiple years of strong risk-adjusted returns in a variety of market conditions
* Strong communication abilities in explaining your methodologies
* Ability to make profits independently without reliance on client flow
* Outstanding risk management capabilities during periods of market volatility
* In-depth understanding of how liquidity conditions impact the products you specialize in trading
This is an amazing opportunity to join a leading trading company and generate PnL. This firm has cultivated a community of self-starters who are motivated by the excitement of being at the forefront of trading technology. A sign-on and formula-based bonus may be provided as part of the total compensation package, in addition to company-paid medical/other benefits. Apply now to learn more.
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Finance, Information Technology, and Business Development
Industries
Financial Services, Capital Markets, and Investment Management
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