spread-trading-jobs-in-arcot

45 Spread Trading Jobs in Arcot

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posted 3 days ago
experience5 to 10 Yrs
Salary5 - 12 LPA
location
Navi Mumbai, Thane+1

Thane, Mumbai City

skills
  • portfolio management
  • client acquisition
  • hni sales
  • saving account
  • casa
  • wealth
  • current account
  • bank
Job Description
Hi There is an urgent opening in a leading Bank   Designation: Relationship Manager CTC: Upto 12 Lacs Location: Across Mumbai   Ideal Candidate: * Should have completed minimum 1 yr. in the current Job Role * Education: Any Graduate/Post Graduate/Professional Degree * Minimum 3 years of work experience in Retail Branch Banking * Knowledge of the Banking Industry and Financial Markets   JD: * Managing the High Net Worth customers of the Bank * Achieving the Business targets assigned in terms of cross selling, enhancing and upgrading the High Net Worth relationships * Profiling Customers and provide financial products to meet customer needs * Ensuring the highest levels of service to the High Net Worth customers * Providing Financial planning & Investment Advise * Sales targets spread across Liabilities, Retail Assets, Business Banking, Forex, Credit Cards, Online trading etc * One point contact for all requirements of High Net Worth customers in the Branch * Acquisition & Servicing of High Net Worth customers   Interested Kindly revert Back with an updated CV Reach at: qcnaukri1@gmail.com Any query call Shrutika : 022-40697708 / 8369367973    
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posted 2 months ago

Institutional Equity Dealer

iRageCapital Advisory Private Limited
experience3 to 7 Yrs
location
Maharashtra
skills
  • Equity trading
  • Bloomberg
  • MS Excel
  • Client interaction
  • Relationship building
  • Market trends analysis
  • Algorithmic trading
  • FO trading
  • ALGO strategies
  • Trade settlement processes
Job Description
As an Institutional Equity Dealer, you will be responsible for executing trades for various institutional clients, including AMCs, DIIs, FIIs, Insurance Companies, and DFIs. This role requires a deep understanding of market trends, algorithms, and trading strategies across multiple segments. Key Responsibilities: - Trade Execution: - Accurately execute trades in Equity and Future & Options (F&O) Segments with precision and timeliness. - Utilize various ALGO strategies such as CD Orders, VWAP Orders, Volume Participation, Basket Orders, Blocks, F&O Directional & Spread Trades, and Arbitrage. - Market Analysis & Reporting: - Monitor and analyze market trends, providing relevant updates to stakeholders. - Prepare and present market reports using Bloomberg & MS Excel. - Client Interaction: - Maintain regular communication with clients to understand their requirements and provide trading solutions. - Build and strengthen relationships by meeting clients regularly and offering insights into market movements. - Collaboration: - Work closely with the back-office team to ensure smooth and error-free trade settlement processes. Qualifications: - Essential: A graduate in any discipline. - Preferred: Postgraduate degree or MBA.,
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posted 2 weeks ago

Junior Options Trading Analyst

iPROTECHS Commercial Solutions Pvt Ltd
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • financial modeling
  • options pricing
  • datadriven trading strategies
  • analyzing market trends
  • tracking implied volatility
  • identifying highprobability setups
  • options strategy modeling
  • volatility
  • Greek analysis
  • pre
  • postearnings trade preparation
  • realtime trade execution
  • market scanning
  • sector rotation tracking
  • ExcelPythonbased trade performance analytics
Job Description
As a Junior Options Trading Analyst, you will be responsible for analyzing market trends, tracking implied volatility, and identifying high-probability setups across equities and index options. You should be comfortable working in fast-paced, high-intensity trading environments and have exposure to both directional and non-directional options strategies like credit spreads, iron condors, covered positions, and volatility crush plays. Your core competencies will include options strategy modeling (credit/debit spreads, straddles, strangles, covered strategies), volatility and Greek analysis (Delta/Gamma/Vega/Theta interpretation), pre- and post-earnings trade preparation, real-time trade execution, journaling discipline, market scanning, and sector rotation tracking. You should also be proficient in Excel/Python-based trade performance analytics. The ideal candidate for this role would have at least 2 years of trading or market research exposure, preferably in Finance, Economics, or STEM fields. Familiarity with tools like Thinkorswim, TradingView, or other options analytics tools is a plus. You should have a strong interest in systematic or volatility-based trading, be calm under pressure, a quick learner, and thrive in data-rich environments. This position is contractual/temporary with a contract length of 6 months. The work location is in person. If you are passionate about derivatives, volatility, and market microstructure, and eager to develop proprietary trading insights within a collaborative desk environment, this role could be a great fit for you.,
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posted 1 month ago

React Developer

Arcot Group
experience2 to 6 Yrs
location
Maharashtra
skills
  • JavaScript
  • RESTful APIs
  • NPM
  • Reactjs
  • ES6 syntax
  • Redux
  • Context API
  • asynchronous programming
  • Webpack
  • Babel
Job Description
As a React Developer at Arcot Group, you will be responsible for building user-friendly and dynamic web applications using React.js. You will work closely with designers and backend developers to create high-performance applications that deliver exceptional user experiences. Key Responsibilities: - Developing and implementing user interface components using React.js. - Translating designs and wireframes into high-quality code. - Building reusable components and front-end libraries for future use. - Optimizing components for maximum performance across various web-capable devices and browsers. - Collaborating with backend developers to integrate APIs and improve application functionality. - Participating in code reviews and ensuring adherence to best practices. - Keeping abreast of the latest industry trends and technologies. Qualifications Required: - Bachelor's degree in Computer Science, Information Technology, or a related field. - Proven experience as a React Developer or similar role. - Strong proficiency in JavaScript, including ES6+ syntax and features. - Experience with state management libraries (e.g., Redux, Context API). - Familiarity with RESTful APIs and asynchronous programming. - Understanding of front-end development tools such as Webpack, Babel, and NPM. - Excellent problem-solving skills and the ability to work collaboratively in a team environment.,
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posted 1 week ago
experience3 to 7 Yrs
location
Haryana
skills
  • Credit Analysis
  • Financial Modeling
  • Industry Research
  • Company Valuation
  • DCF
  • DDM
  • Qualitative Analysis
  • Capital Structure Analysis
  • Trading Multiples
  • Transaction Multiples
  • Credit Ratios Analysis
  • Covenant Analysis
  • Debt Schedule
  • Financial Forecast
  • Credit Comparable Analysis
  • Macro Factors Analysis
  • Financial Statements Analysis
  • Debt Information Extraction
Job Description
Role Overview: Evalueserve is a global leader in delivering innovative solutions to clients, including Fortune 500 companies. As a member of the Professional Services & Asset & Wealth Management team, you will work on projects that shape the future of businesses. You will be part of a dynamic team leveraging cutting-edge technologies and deep industry expertise to drive impact for clients. Key Responsibilities: - Conduct credit analysis using credit metrics like liquidity, coverage, and solvency - Develop and maintain excel-based financial models with forecasts and benchmarking companies on financial and operating metrics - Build detailed financial models incorporating industry research, capital structure analysis, peers comparison, and recovery analysis - Review credit agreements and bond indentures for covenant package and integrate them into models for covenant testing - Publish quarterly and annual write-ups on portfolio companies with investment recommendations based on trends and financial model projections - Explain industry drivers, company KPIs, business strategy, model assumptions, and investment recommendations to clients and onshore team - Perform extensive company valuation using approaches like DCF, DDM, Trading multiples, and transaction multiples - Summarize earnings conference calls on a quarterly basis - Write credit reviews including Credit Ratios Analysis, Covenant Analysis, Capital Structure Analysis - Analyze the impact of macro and qualitative factors on the creditworthiness of a company - Identify credit strengths and weaknesses, prepare financial models using financial statements, debt schedule, and financial forecast - Extract debt-related information such as price, maturity, Yield, Z-spread, CDS from databases Qualifications Required: - CA / MBA (Finance); CFA (added advantage) - Strong accounting and financial skills - Good analytical skills - Excellent understanding of credit research concepts - Ability to meet tight deadlines and ensure timely completion of tasks - Good listening skills - Ability to implement new working styles - Ability to identify proactive ways of contributing to the company's goals and mission - Knowledge of databases (such as Bloomberg and Reuters) and other financial data systems - Excellent communication and interpersonal skills - Proficiency in MS Office,
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posted 2 months ago
experience0 to 4 Yrs
location
Haryana
skills
  • Finance
  • Derivatives
  • Trading Strategies
  • Risk Management
  • Data Analysis
  • Excel
  • Markets
Job Description
As an intern in this dynamic world of options, futures, and other derivatives, you will gain a hands-on experience that provides deep exposure to trading strategies, risk management techniques, and real-time market dynamics, making it an ideal opportunity for individuals passionate about finance and markets. Your key responsibilities on a day-to-day basis will include: - Monitoring live market activity and providing support in trade execution. - Analyzing derivatives pricing, volatility patterns, and market spreads. - Assisting in the development and back-testing of innovative trading strategies. - Helping in the maintenance and enhancement of trading models and analytical tools. - Collaborating with the risk and research teams to assess trade ideas and market opportunities. Qualifications required for this internship: - Strong interest in finance and markets. - Basic understanding of derivatives and trading concepts. - Proficiency in data analysis and Excel is a plus.,
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posted 1 week ago

R&D Engineer / VLSI Engineer

MIRROR INSTITUTE FOR EMBEDDED TECHNOLOGY
experience0 to 4 Yrs
location
All India
skills
  • VLSI
  • Verilog
  • SystemVerilog
  • C
  • C
  • ModelSim
  • Altera Quartus
  • Digital Electronics
  • Xilinx Vivado
Job Description
Role Overview: Join our R&D division at Mirror Institute for Embedded Technology (MIET) in Chennai to learn, design, and innovate in VLSI and Embedded Technologies. You will have the opportunity to gain hands-on experience with FPGA/ASIC Design, Verilog/SystemVerilog, Xilinx & Mentor Graphics tools, and work on industry-grade projects. Additionally, there is the potential for growth as a trainer, researcher, and innovator in advanced chip design and verification domains. Key Responsibilities: - Learn and work on FPGA/ASIC Design projects - Utilize Verilog/SystemVerilog and C/C++ for coding - Work with Xilinx Vivado, ModelSim, Altera Quartus tools - Engage in effective communication and mentoring - Demonstrate a passion for learning and innovation Qualification Required: - M.E. in VLSI Design / Embedded Systems / Power Systems / Power Electronics or M.Sc. in Electronics - Candidates from Anna University, Tamil Nadu (Regular) are preferred - Freshers & Experienced candidates are welcome - Academic criteria: Minimum 70% in UG and 65% in 10th & 12th grades Additional Company Details: Mirror Institute for Embedded Technology (MIET) is located at 184/2, 3rd Floor, Chandamama Building, Arcot Road, Vadapalani, Chennai 600026. Our office is situated conveniently opposite Kamala Theater, above Viveks Showroom. MIET emphasizes a collaborative and innovative environment where employees have the opportunity for professional growth and skill development. For further inquiries or to apply, please contact us at hrmirrorinstitute@gmail.com or call 93809 48474 / 93819 48474. This is a full-time position with a contract term of 3 years. Work location is in person.,
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posted 2 months ago
experience7 to 11 Yrs
location
Karnataka
skills
  • MuleSoft
  • Java
  • Groovy
  • JUnit
  • SQL
  • Git
  • Maven
  • Salesforce
  • Nexus
  • JFrog
  • RESTful endpoints
Job Description
Role Overview: You will be working as a Senior MuleSoft Developer at Axi, focusing on projects involving MuleSoft 3.8-3.9 and Java to create scalable integrations. Your responsibilities will include developing solutions using MSSQL, ActiveMQ, and Azure Service Bus for asynchronous processing. Key Responsibilities: - Collaborate with cross-functional teams in an Agile environment to design, develop, and deploy high-quality integration solutions. - Take ownership of end-to-end development to ensure alignment with business requirements. - Share best practices, refine development processes, and mentor junior team members. - Translate user requirements into well-structured, maintainable, and testable code. - Write clean code using Test-Driven Development (TDD) and unit testing frameworks. - Implement security best practices throughout the development lifecycle. - Configure and extend CI/CD pipelines for efficient deployments. - Stay updated with modern integration technologies and apply them effectively. - Design and maintain scalable, efficient, and high-performance software architecture. - Collaborate with Product Managers to provide insights into technical constraints and recommendations. Qualifications Required: Must-Have Skills: - MuleSoft 3.8/3.9 (Enterprise & Community editions) - Java 7/8 development experience - Groovy for data transformation - JUnit/MUnit/FunctionalMunitSuite for testing - SQL for writing queries - Reliability patterns & CQRS - Git for version control - Maven & Dependency Management - Nexus or JFrog for artifact management Good To Have Skills: - Experience integrating with Salesforce - Experience in creating new RESTful endpoints for front-end consumption Additional Details: Axi is a leading global provider of margin and deliverable Foreign Exchange, Contracts for Difference (CFDs), and Financial Spread betting. The company has offices in six regions and aims to offer a comprehensive trading experience for traders of all levels. Axi invests heavily in the latest trading technology to provide cutting-edge solutions to its clients. (Note: The interview process at Axi includes Talent Acquisition Interview, Culture Interview, Tech Interview, and Hiring Manager Interview.),
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posted 1 week ago
experience15 to 19 Yrs
location
All India
skills
  • Technical analysis
  • Backtesting
  • Risk management
  • MACD
  • Options strategies
  • Chartered Market Technician CMT qualification
  • Options trading
  • Trading platforms
  • Elliott Wave analysis
  • RSI
  • Fibonacci analysis
  • Bollinger Bands
  • NSE option chains analysis
  • Open interest data analysis
  • Volatility tools
  • AIenabled research
Job Description
As a Senior Technical Analyst at our company located in Daryaganj, Delhi, you will be responsible for leading technical research, strategy formulation, and execution in equities and derivatives markets, primarily focusing on NSE-listed stocks and options. Your role will involve staying updated with emerging technical indicators, AI-driven tools, and trading platforms. You will develop, back-test, and implement systematic trading strategies, conduct intraday market monitoring, and provide precise entry/exit recommendations. Additionally, you will apply options Greeks, implied volatility, and risk-reward analysis for strategy optimization, perform in-depth technical analysis, generate trade ideas, and assess market sentiment and global triggers. Key Responsibilities: - Stay updated with emerging technical indicators, AI-driven tools, and trading platforms. - Develop, back-test, and implement systematic trading strategies using leading back-testing platforms. - Conduct intraday market monitoring, identify patterns, and provide precise entry/exit recommendations. - Apply options Greeks, implied volatility, and risk-reward analysis for strategy optimization. - Perform in-depth technical analysis of Indian equity and derivatives markets. - Generate high-conviction trade ideas and maintain daily trade setup reports. - Assess market sentiment, global triggers, and cross-market technical setups. - Ensure robust risk management and maintain discipline in portfolio oversight. Required Qualifications & Skills: - Education: Bachelors degree with Chartered Market Technician (CMT) certification (mandatory). - Experience: Minimum 15 years of experience in options trading with a strong focus on technical setups. - Expertise in charting platforms TradingView, MetaStock, NinjaTrader, Bloomberg, or equivalent. - Deep knowledge of Elliott Wave, RSI, MACD, Fibonacci, Bollinger Bands, and other technical tools. - Strong command of options strategies spreads, straddles, strangles, condors, and advanced structures. - Proficiency in analyzing NSE option chains, open interest data, and volatility tools. - Excellent analytical, decision-making, and communication skills. - Ability to perform under pressure and make real-time trading decisions. - Well-versed with AI-enabled research and trading solutions. In this full-time role, you will be expected to hold a Chartered Market Technician (CMT) certification and have at least 15 years of hands-on experience in trading NSE-listed options and equities. Your proficiency in charting platforms and technical tools will be crucial for the successful execution of your responsibilities. Additionally, your ability to analyze market data, develop trading strategies, and manage risks effectively will contribute significantly to the team's success.,
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posted 2 months ago

Analyst - Comp Surveillance

Invesco India Pvt. Ltd.
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Analytical skills
  • Interpersonal skills
  • Tableau
  • Financial products knowledge
  • Mutual fund industry knowledge
  • Trade surveillance platforms tools
  • Understanding of trading principles
  • Attention to detail
  • MS Office proficiency
  • Written
  • verbal communication skills
  • Positive attitude
  • Flexibility
  • Knowledge of trading systems
  • Compliance components knowledge
  • MS Power BI
Job Description
**Job Description:** As one of the world's leading asset managers, Invesco is dedicated to helping investors worldwide achieve their financial objectives. By delivering the combined power of distinctive investment management capabilities, Invesco provides a wide range of investment strategies and vehicles to clients around the world. If you're seeking challenging work, smart colleagues, and a global employer with a social conscience, come explore your potential at Invesco and make a difference every day. **Key Responsibilities:** - Conduct reviews of alerts triggered for Market Abuse modules within the Surveillance tool on a daily basis. - Review alert completion related to Portfolio managers" trading activities by researching and documenting detailed notes on resolutions in relevant systems. - Review Best execution activities, meeting logs, and perform ecomm surveillance to identify any potential conflicts of interest. - Prepare documentation to support reviews conducted and demonstrate adequate processes/controls to meet applicable regulatory requirements. - Assist with ongoing reviews of relevant processes and procedures to ensure best practices are followed. - Assist in the delivery of compliance-related projects and initiatives, including ad-hoc requirements. - Total relevant work experience of 2-5 years required with an investment advisor or mutual fund group in a Compliance or regulatory environment. **Qualifications Required:** - Knowledge of Financial products and the Mutual fund industry. - Experience with Trade surveillance platforms & tools. - Understanding of trading principles and fundamentals. - Good analytical skills and attention to detail. - Excellent interpersonal skills to work effectively with a network of colleagues spread across different time zones. - Proficiency in MS Office. - Strong written and verbal communication skills. - A positive attitude and willingness to learn. - Open to flexible working hours. - Familiarity with trading systems and compliance components such as Charles River, Bloomberg & Aladdin would be given preference. - Knowledge of MS Power BI and Tableau would be an added advantage. Invesco, a global investment management firm with over $1.8 trillion of assets under management and headquartered in Atlanta, GA, operates in 26 countries with over 8400 dedicated employees. The company values diversity, inclusion, and a supportive workplace where everyone feels equally valued. Invesco offers a range of benefits and development opportunities for its employees.,
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posted 2 months ago

IT Security Analyst

The Citco Group Limited
experience3 to 7 Yrs
location
Hyderabad, Telangana
skills
  • IDM
  • Siteminder
  • Connectors
  • Core Java
  • Application Servers
  • JBOSS
  • Tomcat
  • Apache
  • Troubleshooting
  • Analysis
  • Development
  • Testing
  • Training
  • Communication
  • Deployment
  • Maintenance
  • Documentation
  • Information Security
  • Access management
  • CA Identity Manager
  • SAML
  • Federation
  • Certificate Authority
  • IAM services
  • Arcot
  • SDK libraries
  • APIJDBC interfaces
  • Java framework
  • Arcot custom flows
  • Authentication rules
  • Production issues
  • Patching verification
  • IAM product upgrades
  • CA IDM components
  • Identity Policy
  • Password policy
  • Policy xpress
  • CA Identity Governance
  • CA Identity Portal
  • IDM SDK
  • ODSEE
  • OUD
  • LDAP Directory upgrades
  • Troubleshooting directory issues
  • Unix environments
  • Windows environments
  • CA SiteMinder Administration
  • Single SignOn
  • CA Strong Authentication support
  • Privilege Access Management
Job Description
Role Overview: As an IT IAM Security Analyst at Citcos, your primary role involves the development and support of Identity and Access Management (IAM) services. You will be responsible for customizing IAM products such as IDM, Arcot, and Siteminder using SDK libraries. Collaboration with application IT teams to develop API/JDBC interfaces for managing application access and creating a java framework to aggregate user access from applications will also be part of your responsibilities. Additionally, you will work on developing custom flows in Arcot to handle authentication rules for different user groups and handle complex production issues, patching verification, and IAM product upgrades. Interacting with various support and development groups, security team staff, business management, and end-users is an essential part of your duties. Key Responsibilities: - Hands-on experience in CA IDM components like tasks, screens, BLTH, Identity Policy, password policy, and policy xpress - Proficiency in CA Identity Governance, CA Identity Portal endpoint integration, and coding knowledge for connectors - Experience with Core Java, IDM SDK, and customizing connectors - Knowledge of ODSEE/ OUD, LDAP Directory upgrades, and troubleshooting directory issues - Installation and troubleshooting of applications in Unix and Windows environments - Familiarity with Application Servers such as JBOSS, Tomcat, Apache - Troubleshooting and resolving issues related to identities, systems, access, accounts, authentication, authorization, entitlements, and permissions - Providing analysis, development, testing, training, communication, deployment, and maintenance of IAM systems - Documenting processes, procedures, standards, and guidelines related to Information Security - Collaborating with internal stakeholders to identify access management requirements - Working independently, portraying a professional demeanor, and training other staff members and external clients Qualifications Required: - Bachelor's Degree in Computer Science or related field - Graduate Degree is a plus Desired Knowledge/Skills: - Experience with CA Identity Manager or equivalent Provisioning system - Proficiency in CA SiteMinder Administration - Knowledge of Single Sign-On, SAML, and Federation - Experience with CA Strong Authentication support - Familiarity with Privilege Access Management and Certificate Authority,
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posted 2 weeks ago
experience4 to 8 Yrs
location
All India
skills
  • DevOps
  • AWS
  • HCL
  • Agile development
  • AWS
  • Kubernetes
  • Ansible
  • Cloud architecture
  • InfrastructureasCode
  • Terraform
  • CICD
Job Description
Role Overview: As a Senior DevOps and IaC Engineer (Terraform) at Axi, you will be a key member of the Global engineering team, contributing your expertise in DevOps, Cloud architecture, Infrastructure-as-Code, and AWS. Your primary responsibility will be to design and build scalable cloud infrastructure for trading and financial applications, ensuring performance, reliability, and security. Key Responsibilities: - Design, develop, and maintain scalable cloud infrastructure using Terraform and HCL, covering various components such as compute, storage, networking, Email, SMS, logging, CI/CD pipelines, container orchestration, and DNS management - Automate provisioning, scaling, and management of infrastructure to enhance reliability and efficiency - Collaborate with development and operations teams to support cloud initiatives and streamline deployment processes - Monitor cloud environments, perform maintenance tasks, and troubleshoot issues proactively - Implement and enforce best practices for cloud security, compliance, and risk management - Conduct security testing and code reviews regularly to identify and address vulnerabilities - Contribute to architectural designs, technical documentation, and provide engineering solutions for improved security - Stay updated with new tools, technologies, and industry best practices to advise teams on secure coding practices - Collaborate with engineering teams to design automation workflows in Terraform for infrastructure provisioning, ensuring scalable, repeatable, and secure deployments Qualifications Required: - 4+ years of experience in DevOps and Cloud architecture - Strong professional experience with Terraform in a production environment - Solid understanding of AWS, cloud architecture, and design patterns - Familiarity with Agile development practices and CI/CD workflows - Excellent problem-solving skills and a strong sense of ownership Additional Details: Axi is a leading global provider of margin and deliverable Foreign Exchange, Contracts for Difference (CFDs), and Financial Spread betting. With offices in six regions, Axi offers a comprehensive end-to-end trading experience for traders of all levels, backed by heavy investment in trading technology. Joining Axi provides competitive compensation, training resources, certification opportunities, generous leave days, health insurance benefits, and a collaborative work environment. (Note: The interview process includes a Talent Acquisition Screen, Technical Skills Assessment, Technical Interview with Team, and Hiring Manager Interview) Role Overview: As a Senior DevOps and IaC Engineer (Terraform) at Axi, you will be a key member of the Global engineering team, contributing your expertise in DevOps, Cloud architecture, Infrastructure-as-Code, and AWS. Your primary responsibility will be to design and build scalable cloud infrastructure for trading and financial applications, ensuring performance, reliability, and security. Key Responsibilities: - Design, develop, and maintain scalable cloud infrastructure using Terraform and HCL, covering various components such as compute, storage, networking, Email, SMS, logging, CI/CD pipelines, container orchestration, and DNS management - Automate provisioning, scaling, and management of infrastructure to enhance reliability and efficiency - Collaborate with development and operations teams to support cloud initiatives and streamline deployment processes - Monitor cloud environments, perform maintenance tasks, and troubleshoot issues proactively - Implement and enforce best practices for cloud security, compliance, and risk management - Conduct security testing and code reviews regularly to identify and address vulnerabilities - Contribute to architectural designs, technical documentation, and provide engineering solutions for improved security - Stay updated with new tools, technologies, and industry best practices to advise teams on secure coding practices - Collaborate with engineering teams to design automation workflows in Terraform for infrastructure provisioning, ensuring scalable, repeatable, and secure deployments Qualifications Required: - 4+ years of experience in DevOps and Cloud architecture - Strong professional experience with Terraform in a production environment - Solid understanding of AWS, cloud architecture, and design patterns - Familiarity with Agile development practices and CI/CD workflows - Excellent problem-solving skills and a strong sense of ownership Additional Details: Axi is a leading global provider of margin and deliverable Foreign Exchange, Contracts for Difference (CFDs), and Financial Spread betting. With offices in six regions, Axi offers a comprehensive end-to-end trading experience for traders of all levels, backed by heavy investment in trading technology. Joining Axi provides competitive compensation, training resources, certification opportunities, generous leave days, health insurance benefits, and a collaborative work e
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posted 2 months ago
experience5 to 9 Yrs
location
All India
skills
  • Business Development
  • Team Management
  • Sales Strategy
  • Revenue Management
  • Market Intelligence
  • Business Innovation
  • Client Acquisition
  • Client Relationship Management
  • Leadership
  • Negotiation
  • Stakeholder Management
  • Compliance Risk Management
  • CRM Tools
Job Description
As a Business Development Director in the FX & CFDs brokerage industry, your role will involve leading and expanding the Business Development function. You will be responsible for executing individual BD initiatives and managing a team to drive revenue growth across key markets. **Key Responsibilities:** - Lead, coach, and manage a team of Business Development Managers and Senior Business Development Managers. - Set clear sales targets and KPIs for hunting new IBs, affiliates, partners, and clients. - Conduct regular performance reviews and provide ongoing mentoring. - Personally drive acquisition of high-value Introducing Brokers (IBs), affiliates, institutional clients, and retail partnerships. - Define and implement regional and global business development strategies. - Own the team P&L, ensure targets are met, and oversee sales forecasting. - Ensure all client and partner acquisition activities comply with regulatory requirements. - Monitor competitor activities, market trends, and drive continuous innovation in BD approach. **Qualifications Required:** - Minimum 5 years of individual Business Development experience in the FX & CFDs brokerage industry. - Minimum 2 years of experience managing Business Development team members. - Strong knowledge of FX & CFDs products, trading platforms, spreads, and partner programs. - Proven success in hunting new IBs and clients and farming existing portfolios. - Exceptional leadership, coaching, and team development skills. - Experience with CRM tools and performance tracking. - Ability to work independently and thrive in a fast-paced, international environment. - Multilingual abilities are a plus, particularly languages relevant to target markets.,
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posted 2 days ago
experience0 to 4 Yrs
location
All India
skills
  • Recruitment
  • Employee Engagement
  • Organizational Culture
  • HR Management
  • Communication Skills
  • Microsoft Office
  • Onboarding
  • Administrative Support
  • Employee Feedback
  • Organizational Abilities
Job Description
Role Overview: As an HR Intern at Arcot Group, you will have the opportunity to immerse yourself in the realm of human resources, focusing on recruitment, employee engagement, and organizational culture. This internship offers a valuable experience where you will gain insights into the multifaceted world of human resource management. Your role will involve contributing to our people-centered approach through various responsibilities. Key Responsibilities: - Support the recruitment process by posting job openings, screening applications, coordinating interviews, and aiding in the selection process. - Assist in the onboarding of new employees by preparing onboarding materials, maintaining HR databases, updating employee records, and participating in organizing employee engagement and training programs. - Conduct surveys, collect employee feedback, and provide necessary administrative support to the HR team. Qualifications Required: - Positive attitude and a strong willingness to learn - Excellent communication skills - Ability to work both independently and collaboratively - Basic understanding of HR principles and practices (advantageous) - Proficiency in Microsoft Office tools such as Word, Excel, and PowerPoint Additional Company Details (if available): Join us at Arcot Group for a rewarding internship experience that will pave the way for a successful career in HR.,
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posted 1 month ago

Trainee - Digital

Newgen knowledge works
experience0 to 4 Yrs
location
Tamil Nadu
skills
  • XML
  • HTML
  • CSS
  • Microsoft Word
  • Microsoft Excel
  • PDF
Job Description
As a fresher with an undergraduate degree between April 2022 to 2024, you have the opportunity to apply for a remote full-time position with the following key skills: - Basic knowledge of XML/HTML and CSS is a must - Familiarity with Microsoft Word, Excel, and PDF tools The job is located in Ranipet, Vellore, Kaveripakkam, Katpadi, Arcot, or Visharam. The application deadline for this position is June 27, 2025.,
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posted 3 weeks ago

Senior Technical Analyst

Rapsys Technologies
experience15 to 19 Yrs
location
All India
skills
  • Technical analysis
  • Backtesting
  • Risk management
  • Market analysis
  • Trading strategies
  • Chartered Market Technician CMT qualification
  • Options trading
Job Description
As a Senior Technical Analyst at our company, your role will involve leading technical research, strategy formulation, and execution in equities and derivatives markets, with a primary focus on NSE-listed stocks and options. Your responsibilities will include: - Staying updated with emerging technical indicators, AI-driven tools, and trading platforms. - Developing, back-testing, and implementing systematic trading strategies using leading back-testing platforms. - Conducting intraday market monitoring, identifying patterns, and providing precise entry/exit recommendations. - Applying options Greeks, implied volatility, and risk-reward analysis for strategy optimization. - Performing in-depth technical analysis of Indian equity and derivatives markets. - Generating high-conviction trade ideas and maintaining daily trade setup reports. - Assessing market sentiment, global triggers, and cross-market technical setups. - Ensuring robust risk management and maintaining discipline in portfolio oversight. To qualify for this position, you need to have: - Education: Bachelors degree with Chartered Market Technician (CMT) certification. - Experience: Minimum 15 years of experience in options trading with a strong focus on technical setups. - Expertise in charting platforms such as TradingView, MetaStock, NinjaTrader, Bloomberg, or equivalent. - Deep knowledge of Elliott Wave, RSI, MACD, Fibonacci, Bollinger Bands, and other technical tools. - Strong command of options strategies including spreads, straddles, strangles, condors, and advanced structures. - Proficiency in analyzing NSE option chains, open interest data, and volatility tools. - Excellent analytical, decision-making, and communication skills. - Ability to perform under pressure and make real-time trading decisions. - Familiarity with AI-enabled research and trading solutions. This is a full-time position located in Daryaganj, Delhi, with a Monday to Saturday shift schedule. The compensation is competitive and as per market standards.,
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posted 2 months ago
experience6 to 10 Yrs
location
Maharashtra
skills
  • Business Acumen
  • Data Analysis
  • Financial Modeling
  • Internal Controls
  • Management Reporting
  • Market Risk
  • Problem Solving
  • Process Execution
  • Risk Identification
  • Assessment
Job Description
As a BSM NTMR Senior Lead Analyst at Citi, your role will involve driving production needs and leading various workstreams to develop, enhance, measure, and monitor the 1st line Non-Trading Market Risk framework. This includes Governance and Oversight, Metrics, Methodology, Measurement, Data and Infrastructure, Process and Controls, and Management for various areas such as Commodity/Equity/CSRBB, FXRBB, stress testing analytics for CCAR and QMMF for Citis global Pensions, and AFS/HTM securities, and asset allocation design. Key Responsibilities: - Support the implementation of BSM's processes by providing key analytical insights across BSM functions, focusing on asset allocation, FXRBB, OCI stress testing analytics, Commodity/Equity/CSRBB risk - Enhance BSM's analytics and methodologies and establish Citi's first-line NTMR management framework - Align governance and management framework, procedures, and controls for legal entities with OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book - Assist Manager with remediation gap efforts in other non-trading market risks as required by Tier 1 regulations - Provide advice and counsel related to the technology or operations of the business - Interact with 2nd line FinCRO function, regulators, senior management, and Non-Traded Market Risk governance committees Qualifications: - 6-10 years of experience in Financial Services, Treasury, and bank global liquidity investment portfolio - Excellent Excel and PowerPoint skills for report building and presentations - Intermediate knowledge in debt investment securities, FXRBB, commodity risk, private equity risk, CSRBB, QMMF, CCAR for Pensions, ATM/AFS portfolios - Intermediate understanding of regulatory, compliance, risk management, financial management, and data governance concerns - Intermediate understanding of Bank ALM, Capital, and Liquidity considerations - Intermediate experience in debt investment securities analytics, measurement, metrics, and methodologies - Demonstrated ability to collaboratively solve complex and dynamic processes - Proven ability to work under pressure in ambiguous environments - Excellent oral and written communications skills; Previous experience interacting and working with Executive Leaders - Effective interpersonal skills - Strong technical problem-solving skills - Bachelors degree in Finance and Business or related fields; advanced degree is a plus This job falls under the Risk Management job family and Finance Risk job family at Citi. The most relevant skills for this role include Business Acumen, Data Analysis, Financial Modeling, Internal Controls, Management Reporting, Market Risk, Problem Solving, Process Execution, Risk Identification and Assessment. For additional skills, please refer to the provided information or contact the recruiter.,
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posted 2 months ago
experience6 to 10 Yrs
location
Maharashtra
skills
  • Business Acumen
  • Data Analysis
  • Financial Modeling
  • Internal Controls
  • Management Reporting
  • Market Risk
  • Problem Solving
  • Process Execution
  • Risk Identification
  • Assessment
Job Description
Role Overview: As the BSM NTMR Senior Lead Analyst, you will drive the production needs and lead various workstreams to develop, enhance, measure, and monitor 1st line Non-Trading Market Risk framework including Governance and Oversight, Metrics, Methodology, Measurement, Data and Infrastructure, Process and Controls, and Management for Commodity/Equity/CSRBB (credit spread in the banking book) Framework, FXRBB (FX risk in the banking book), stress testing analytics relating to CCAR and QMMF for Citis global Pensions, and AFS/HTM securities, and asset allocation design. You will report to a senior manager and function as an integral member of the functional leadership team. Your intermediate understanding of bank balance sheet management and optimization will be crucial in balancing financial resources among different competing priorities and understanding how other Non-Traded Market Risks contribute to achieving Corporate Treasurys balance sheet optimization objectives and Citis strategic goals. Your role will involve aiding the Business Head and senior leaders in executing functional strategy in the designed area in partnership with other finance functions, businesses, and risk management. Key Responsibilities: - Support the implementation of BSMs process by providing key analytical insights across BSM functions with a focus on asset allocation, FXRBB, OCI stress testing analytics for (CCAR) and QMMF for pensions and AFS /HTM securities, Commodity/Equity/CSRBB risk - Provide leadership, market experience, and subject matter expertise for enhancing BSMs analytics and methodologies and establishing Citi's first-line NTMR management framework - Aid in aligning governance and management framework, procedures, and controls for legal entities with OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book - Assist with remediation gap efforts in other non-trading market risks as required by Tier 1 regulations and help to address regulatory/audit self-identified issues concerning other non-trading market risks - Interact with 2nd line FinCRO function, regulators, senior management, and Non-Traded Market Risk governance committees Qualifications: - 6-10 years experience in Financial Services, Treasury, and bank global liquidity investment portfolio - Excellent Excel and PowerPoint skills for report building and presentations - Intermediate knowledge in debt investment securities and non-trading market risk such as FXRBB, commodity risk, private equity risk and CSRBB, QMMF and CCAR for Pensions, ATM/AFS portfolios, etc. - Intermediate understanding of regulatory, compliance, risk management, financial management, and data governance concerns - Intermediate understanding of Bank ALM, Capital, and Liquidity considerations - Intermediate experience in debt investment securities analytics, measurement, metrics, and methodologies - Demonstrated ability to collaboratively solution complex and dynamic processes - Proven ability to work under pressure in ambiguous environments - Excellent oral and written communications skills; Previous experience interacting and working with Executive Leaders - Effective interpersonal skills - Strong technical problem-solving skills - Sense of urgency, passion for results, and personal accountability for achievement Education: - Bachelors degree in Finance and Business or related fields; advanced degree is a plus.,
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posted 2 months ago
experience4 to 8 Yrs
location
Delhi
skills
  • C
  • Python
  • Market Microstructure
  • Financial Markets
  • Machine Learning
  • Risk Analysis
  • Algorithmic Trading Strategies
  • Order Book
  • Derivatives Theory
  • AI
Job Description
Role Overview: As a member of the team, your primary focus will be to design, implement, and analyze algorithms based on mathematical or statistical models to facilitate decision-making in the financial markets. You will play a crucial role in identifying, developing, and implementing algorithmic trading strategies based on sophisticated mathematical models. Additionally, you will be involved in managing future & options portfolios with a consistently high Sharpe Ratio and designing and implementing trading algorithms using real-time data. Key Responsibilities: - Identify, develop, and implement algorithmic trading strategies based on sophisticated mathematical models. - Get involved in directional high-frequency trading (HFT), optional spread trading, volatility trading, and option market making on the National Stock Exchange (NSE). - Manage future & options portfolios with a consistently high Sharpe Ratio. - Design and implement trading algorithms using real-time data, analyze market structure, and conduct risk analysis. - Monitor trading strategies and performance metrics, making necessary adjustments to optimize profitability. Qualifications Required: - Proven experience of successfully running strategies in a live trading environment. - Strong coding skills in both C++ and Python with the ability to build robust, low-latency, and scalable systems. - Deep understanding of market microstructure and order book in HFT setup. - Keen interest and in-depth knowledge of financial markets and derivatives theory. - Ability to create, test, monitor, and troubleshoot proprietary trading models, as well as customize existing models to align with specific requirements. - Familiarity with machine learning and AI in financial modeling. - 4-5 years of hands-on experience in a live High-Frequency Trading (HFT) environment. - Degree in Computer Science or Mathematics from a renowned institute. Additional Details: The company offers competitive compensation and excellent bonus programs, comprehensive health insurance coverage for employees and their families, and an annual Extravaganza event. (Note: The reference to the company's website is omitted as no specific details were provided in the job description),
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posted 2 weeks ago
experience6 to 10 Yrs
location
Maharashtra
skills
  • Business Acumen
  • Data Analysis
  • Financial Modeling
  • Internal Controls
  • Management Reporting
  • Market Risk
  • Problem Solving
  • Process Execution
  • Risk Identification
  • Assessment
Job Description
As a BSM NTMR Senior Lead Analyst at Citis, your role will involve driving production needs and leading various workstreams to develop, enhance, measure, and monitor the 1st line Non-Trading Market Risk framework. This includes Governance and Oversight, Metrics, Methodology, Measurement, Data and Infrastructure, Process and Controls, and Management for Commodity/Equity/CSRBB Framework, FXRBB, stress testing analytics related to CCAR and QMMF for Citis global Pensions, and AFS/HTM securities, and asset allocation design. Your responsibilities will include: - Supporting the implementation of BSMs process by providing key analytical insights across BSM functions with a focus on asset allocation, FXRBB, OCI stress testing analytics, Commodity/Equity/CSRBB risk - Providing leadership, market experience, and subject matter expertise to enhance BSMs analytics and methodologies - Building meaningful presentations to display data accurately and timely - Aligning governance and management framework, procedures, and controls for legal entities with OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book - Assisting with remediation gap efforts in other non-trading market risks as required by Tier 1 regulations - Interacting with FinCRO function, regulators, senior management, and Non-Traded Market Risk governance committees Qualifications required for this role: - 6-10 years experience in Financial Services, Treasury, and bank global liquidity investment portfolio - Excellent Excel and PowerPoint skills for report building and presentations - Intermediate knowledge in debt investment securities and non-trading market risk - Intermediate understanding of regulatory, compliance, risk management, and financial management - Intermediate experience in debt investment securities analytics, measurement, metrics, and methodologies Education: - Bachelors degree in Finance and Business or related fields; advanced degree is a plus You will also need to demonstrate strong technical problem-solving skills, effective interpersonal skills, and a sense of urgency and passion for results. Previous experience interacting and working with Executive Leaders will be beneficial for this role. Please note that if you are a person with a disability and need a reasonable accommodation to use Citis search tools and/or apply for a career opportunity, you can review Accessibility at Citi.,
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