A Swiss-based firm blending research, technology, and trading expertise to build advanced systems for global markets.
Key Responsibilities
Develop discretionary trade ideas using macro, fundamentals, positioning / flows, technical analysis, and volatility signals.
Structure trades in spot and / or options across directional, relative value, volatility, and event-driven strategies.
Execution
Execute trades efficiently with strong attention to market microstructure, liquidity, and order types.
Maintain best practices when working with
okers, venues, and OTC counterparties.
Own daily risk management, including position sizing, stop-loss discipline, scenario analysis, and hedging.
Operate within strict risk limits (VAR, Greeks, drawdowns, liquidity constraints).
Performance & Review
Track P&L drivers, hit rate, expectancy, and attribution by strategy and market regime.
Conduct post-trade reviews and refine playbooks for repeatability.
Partner with risk, operations, compliance, and technology teams to ensure accurate trade capture and controls.
Contribute to improving dashboards, alerts, and execution workflows
Fast Growing Company
Attractive Package
Ideal Candidate Profile
Degree in Quantitative Finance, Mathematics, Computer Science, or related field.
5+ years of professional trading experience (proprietary, hedge fund, or family office) OR audited track record.
Proven ability to generate and manage discretionary P&L in spot and / or options.
Strong understanding of market structure, liquidity, execution tactics, and risk management.
For options : deep knowledge of volatility, skew, term structure, Greeks, and payoff engineering.
Highly disciplined, calm under pressure, and accountable for outcomes.
This is a rare opportunity to join a high-performing trading team with strong infrastructure and a culture of innovation. The role offers autonomy, competitive compensation, and the chance to work on complex strategies in a dynamic environment....
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