Position Overview
DESCRIPTION:
Duties: Lead market making activities for a designated sector, independently pricing and managing a complex options portfolio. Take full ownership of risk management, using advanced quantitative techniques and back testing option strategies to enhance performance and mitigate exposure. Engage with clients, deliver tailored solutions, and commercial insights to support clients trading and hedging needs. Collaborate with Quantitative Research and Technology teams to drive innovation and develop new analytical tools. Implement risk management methodologies and adapt trading strategies to optimize results. Demonstrate a high level of autonomy in decision-making and continuously evaluate market conditions. Foster strong relationships within the trading team, providing expertise and support across sectors as needed.
QUALIFICATIONS:
Minimum education and experience required: Master's Degree in Finance, Mathematics, Engineering, Computer Science, Economics, or...