This role requires a deep understanding of equity markets, options trading, and structured financial products.
Key Responsibilities:
- Execute high-value trades in equities, options, futures, and structured derivatives, ensuring best execution across multiple exchanges.
- Utilise quantitative models, market trends, and economic indicators to inform trading decisions and mitigate risk.
- Collaborate with quantitative analysts, portfolio managers, and risk specialists to develop innovative trading strategies.
- Manage risk exposure, leverage positions, and capital allocation within defined trading limits.
- Continuously monitor market conditions, regulatory changes, and geopolitical factors that could impact trading activities.
What We’re Looking For:
- Proven experience in equities and derivatives trading, with a track record of profitability and risk management.
- Strong background in technical and fundamental analysis.
- Expertise in trading platforms, algorithmic strategies, and market liquidity assessment.