Senior Trader, Sydney

Added
12 days ago
Type
Full time
Salary
Salary not provided

Related skills

risk management analytics python pricing models vix futures

πŸ“‹ Description

  • Develop listed volatility relative value strategies across VIX futures/options and SPX derivatives.
  • Manage portfolio risk and trading performance within risk limits and capital parameters.
  • Develop pricing models, volatility analytics and execution methodologies.
  • Design and continuously improve the strategy's risk management framework.
  • Collaborate with Risk, Tech, Operations and Finance to optimise trading infra and controls.
  • Monitor performance and provide transparent P&L attribution and risk reporting.

🎯 Requirements

  • 10+ years trading options and listed derivatives in prop trading, funds, or banks.
  • Direct VIX futures & options and SPX futures & options experience.
  • Proven volatility relative value strategy track record with risk-adjusted results.
  • Advanced knowledge of VIX futures, VIX options, SPX options and volatility markets.
  • Strong quantitative skills; postgraduate degree in math or similar field (or equivalent).
  • Proficient in Python or similar analytics tools for research and model development.

🎁 Benefits

  • Flexible leave
  • Annual discretionary bonus
  • Healthcare allowance
  • Insurance benefits for life and salary continuance
  • Employee wellbeing guidance and support
  • Generous paid parental leave
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