A leading global multi-strategy hedge fund is expanding its equities derivative trading platform , a key growth area for the firm. This role will sit at the center of that expansion, supporting the development of proprietary tools used by Portfolio Managers to research strategies, manage risk, and trade equities derivatives.
Role Objective
Act as the key Business Analyst / Project Manager working closely with Portfolio Managers, traders, and technology teams to deliver and enhance proprietary derivatives pricing, analytics, and risk management systems supporting the equities volatility business.
Requirements
- Strong equities derivatives knowledge , including market data, pricing and risk methodologies
- Experience as a BA/PM working on derivatives pricing, analytics, or risk systems
- Exposure to Asia equities options markets and listed options infrastructure
- Ability to translate business requirements into BRDs, FRDs, and JIRA tickets
- Experience working with traders, risk teams, and developers in Agile environments
- Strong communication and documentation skills
- 6+ years of relevant experience ; Python exposure or ability to read Java is a plus
Why This Role
A high-impact role working directly with front-office trading teams at a leading hedge fund, supporting the continued growth of a rapidly expanding equities volatility business .
Katie Huang