- Bachelor's degree in Finance, Economics, or a related field. A Master's degree or CFA qualification will be an advantage.
- Minimum 8 years of experience in derivative trading and dealing with institutional clients in a financial institution or brokerage firm.
- In-depth knowledge of derivative products, financial markets, and regulatory requirements.
- Proven track record of successful derivative trading and portfolio management for institutional investors.
- Strong analytical and quantitative skills with the ability to interpret market data and make informed trading decisions.
Derivative Trading: Execute derivative trades for institutional investors and domestic institutional clients, including futures and options across various asset classes like equity, commodities, currencies, and interest rates.
Market Analysis: Conduct thorough market analysis and monitor economic and financial market developments to identify trading opportunities and potential risks.
Risk Management: Assess and manage risk exposures associated with derivative positions, implement hedging strategies, and maintain compliance with risk management guidelines.
Client Advisory & Service : Provide expert advice and recommendations on derivative trading strategies to institutional clients, taking into consideration their risk appetite and investment objectives.
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