Key Responsibilities
* Idea Generation & Trade Construction
o Develop discretionary trade ideas using macro, fundamentals, positioning/flows, technical analysis, and volatility signals.
o Structure trades in spot and/or options across directional, relative value, volatility, and event-driven strategies.
* Execution
o Execute trades efficiently with strong attention to market microstructure, liquidity, and order types.
o Maintain best practices when working with brokers, venues, and OTC counterparties.
* Risk Management
o Own daily risk management, including position sizing, stop‑loss discipline, scenario analysis, and hedging.
o Operate within strict risk limits (VAR, Greeks, drawdowns, liquidity constraints).
* Performance & Review
o Track P&L drivers, hit rate, expectancy, and attribution by strategy and market regime.
o Conduct post‑trade reviews and refine playbooks for repeatability.
* Collaboration & Infrastructure
o Partner with risk, operations, compliance, and technology teams to ensure accurate trade capture and controls.
o Contribute to improving dashboards, alerts, and execution workflows.
Ideal Candidate Profile
* Degree in Quantitative Finance, Mathematics, Computer Science, or related field.
* 5+ years of professional trading experience (proprietary, hedge fund, or family office) or audited track record.
* Proven ability to generate and manage discretionary P&L in spot and/or options.
* Strong understanding of market structure, liquidity, execution tactics, and risk management.
* For options: deep knowledge of volatility, skew, term structure, Greeks, and payoff engineering.
* Highly disciplined, calm under pressure, and accountable for outcomes.
This is a rare opportunity to join a high-performing trading team with strong infrastructure and a culture of innovation. The role offers autonomy, competitive compensation, and the chance to work on complex strategies in a dynamic environment.
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