Overview

Associate- EQD Structured Pricing and Trading Analyst Role

Job Description:

– Tier 1 Engineeringg Degree (MBA is an added advantage).

– 2-5 years of exp in Equity Derivatives or good experience in Trading/ Front Office Risk/ Equity Structuring/ knowledge of greeks.

– For IB- Front Office Risk/ GM / Trading exp, for Indian market – Equity Derivative exp.

Role & Responsibilities:

– Performing Equity Exotics Trading Book risk analytics.

– Responsible for managing marks like div/repo/fwd/vol/correl.

– Responsible for structured product ideation, pricing and execution with target market Europe.

– Transactions execution monitoring at European close.

– Monitor book hedging strategy during European hours in collaboration with AEJ traders across European and US market.

– Connect with Sales force in Europe in order to maximise the franchise value.

– Help design and build robust analytical toolsets – efficient, reusable and scalable solutions for improvement of daily workflow and optimisation of trading strategy.

– Self-drive to identify gaps and strengthen current processes and controls.

Skills / qualifications:

– Strong understanding of Equity.

– Derivatives, Structured Product.

– Market, greeks and hedging strategy.

Attention to detail:

– Good market knowledge to know

– What competitors are offering now.

– Strong analytical, problem solving, and troubleshooting abilities.

– Ability to work effectively as part of the team good communication skills.

Very Strong work ethics:

– Ability to multitask and thrive in a fast-paced environment.

– Strong programming skills.

– Comfort with technology to the extent of helping manage / design automation infrastructure.