Base: $125,000 - $175,000; bonus/equity: not speci...
Equity financing trading across vanilla and exotic instruments
Risk management within regulatory and internal limit frameworks
Programming and data analysis using python and sql
The role involves executing trades and managing risk within a defined portfolio of equity financing instruments while adhering to strict regulatory requirements
Job Summary
The role involves executing trades and managing risk within a defined portfolio of equity financing instruments while adhering to strict regulatory requirements.
Candidates are expected to utilize programming skills in Python and SQL alongside quantitative modeling techniques like machine learning to drive data-informed trading decisions.
This position requires close collaboration with treasury, risk, and global trading teams to ensure compliance, transparency, and efficient capital usage.
Matching Summary
The role involves executing trades and managing risk within a defined portfolio of equity financing instruments while adhering to strict regulatory requirements.
Salary
Base: $125,000 - $175,000; Bonus/Equity: Not specified; Benefits: Not specified
Skills & Requirements
Must-have
Equity financing trading across vanilla and exotic instruments
Risk management within regulatory and internal limit frameworks
Programming and data analysis using Python and SQL
Quantitative modeling including machine learning and advanced Excel
Nice-to-have
Stakeholder management across clients and global teams
Ability to manage multiple priorities under tight deadlines
Clear communication of complex trade decisions
Collaborative approach to building synergies across teams
Key Requirements
Certified role under PRA & UK FCA regulations
Mandatory regulatory qualifications or minimum internal benchmarks
Experience with FINRA and FCA regulated environments