proprietary-trading-jobs-in-delhi, Delhi

8 Proprietary Trading Jobs nearby Delhi

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posted 2 months ago

Derivative Trader

Skyline Wealth Creation
experience0 to 4 Yrs
location
Noida, Uttar Pradesh
skills
  • Analytical skills
  • Financial markets
  • Risk management
  • MS Excel
  • Trade equity derivatives
  • Quantitative aptitude
  • Trading instruments
  • Trading platforms
Job Description
As a potential candidate for this role, you will be responsible for trade equity derivatives (F&O) using proprietary strategies. You will need to monitor market trends, price movements, and economic data to identify trading opportunities. It is essential to maintain discipline in trade execution and risk management to ensure successful trading outcomes. Key Responsibilities: - Trade equity derivatives (F&O) using proprietary strategies. - Monitor market trends, price movements, and economic data. - Analyze data to identify trading opportunities. - Maintain discipline in trade execution and risk management. Qualifications Required: - Mandatory: NISM Series VIII (Equity Derivatives) Certification. - Strong analytical and quantitative aptitude. - Good understanding of financial markets and trading instruments. - Ability to make quick and informed trading decisions. - Proficiency in MS Excel and trading platforms. - Freshers with NISM VIII certification are welcome to apply. Please note that this is a full-time position with the work location being in person.,
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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 1 month ago

Equity Derivative Trader

Rahane Financial Services Private Limited
experience1 to 5 Yrs
location
Noida, Uttar Pradesh
skills
  • Trading Strategies
  • Market Analysis
  • Quantitative Models
  • Risk Management
  • Technical Analysis
  • Fundamental Analysis
  • Algorithm Development
  • Quantitative Analysis
  • Equity Derivatives Trading
  • Financial News Analysis
  • Risk Management Practices
  • HighFrequency Trading
  • Algo Trading
  • Decisionmaking
Job Description
As an Equity Derivatives Trader at Rahane Financial Services, located in Sector 96, Noida, you will play a crucial role in developing and executing trading strategies in equity and index derivatives (Futures & Options). Your responsibilities will include actively trading in equity and index derivatives (F&O), developing trading strategies based on market analysis, monitoring trading positions, analysing market trends, and collaborating with internal teams to enhance performance. Additionally, you will be required to ensure all trading activities comply with internal policies and regulatory standards while implementing robust risk management practices to protect capital. Key Responsibilities: - Trade actively in equity and index derivatives (F&O) with precision and compliance - Develop and implement trading strategies based on market analysis and quantitative models - Monitor trading positions and portfolios to optimize returns and actively manage risk exposure - Analyse market trends, financial news, and economic data to support trading decisions - Use both technical and fundamental analysis to refine strategies - Build, test, and optimize trading algorithms and models - Adapt trading strategies in response to changing market dynamics and emerging financial products - Collaborate with internal teams, research analysts, and fellow traders to enhance performance - Ensure compliance with internal policies and regulatory standards - Implement robust risk management practices to navigate market volatility and protect capital - Continuously backtest, evaluate, and optimize strategies using historical data and real-time feedback Qualifications & Experience: - Minimum 1 year of experience in equity derivatives trading, preferably in a proprietary trading environment - Bachelor's degree in Finance, Economics, Mathematics, or a related field - Background in Computer Science/Engineering combined with finance is a strong advantage - NISM Series VIII certification is mandatory - CFA, FRM, or MBA is preferred - Strong understanding of the Indian derivatives market and F&O strategies - Hands-on experience with Greek software, NEST, or U Trade is a must - Proficient in MS Excel and other MS Office tools - Hands-on experience in High-Frequency Trading (HFT) and Algo trading and strategy development - Skilled in risk management and quantitative analysis - Strong decision-making ability under pressure Perks & Benefits: - Competitive salary package - Annual performance-based bonus - Strong opportunities for learning and career growth - Supportive, fast-paced, and growth-oriented environment If you have experience working in a proprietary trading environment and meet the qualification requirements, please send your resume to hr@rahanefinserv.com. For more information, contact us at 9289989178.,
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posted 2 weeks ago

Quant Analyst / Strategist

HuntingCube Recruitment Solutions
experience3 to 7 Yrs
location
All India, Gurugram
skills
  • investment
  • risk management
  • trading strategies
  • quantitative trading
  • trading volume analysis
  • asset classes
Job Description
You will be joining AlphaGrep, a quantitative trading and investment firm established in 2010. The company is renowned for being among the largest firms by trading volume on Indian exchanges and holding substantial market share on various large global exchanges. AlphaGrep employs a disciplined and systematic quantitative approach to pinpoint factors that reliably produce alpha. These identified factors are integrated with the firm's proprietary ultra-low latency trading systems and thorough risk management practices to create trading strategies encompassing asset classes such as equities, commodities, currencies, and fixed income that are traded on global exchanges. **Key Responsibilities:** - Utilize a disciplined and systematic quantitative approach to identify factors generating alpha - Develop trading strategies across various asset classes including equities, commodities, currencies, and fixed income - Implement strategies on global exchanges with proprietary ultra-low latency trading systems - Ensure robust risk management practices are in place to mitigate potential risks **Qualifications Required:** - Strong background in quantitative finance, mathematics, statistics, or a related field - Proficiency in programming languages like Python, C++, or Java - Experience in developing and implementing trading strategies in financial markets - Solid understanding of risk management principles in trading environments You will be joining AlphaGrep, a quantitative trading and investment firm established in 2010. The company is renowned for being among the largest firms by trading volume on Indian exchanges and holding substantial market share on various large global exchanges. AlphaGrep employs a disciplined and systematic quantitative approach to pinpoint factors that reliably produce alpha. These identified factors are integrated with the firm's proprietary ultra-low latency trading systems and thorough risk management practices to create trading strategies encompassing asset classes such as equities, commodities, currencies, and fixed income that are traded on global exchanges. **Key Responsibilities:** - Utilize a disciplined and systematic quantitative approach to identify factors generating alpha - Develop trading strategies across various asset classes including equities, commodities, currencies, and fixed income - Implement strategies on global exchanges with proprietary ultra-low latency trading systems - Ensure robust risk management practices are in place to mitigate potential risks **Qualifications Required:** - Strong background in quantitative finance, mathematics, statistics, or a related field - Proficiency in programming languages like Python, C++, or Java - Experience in developing and implementing trading strategies in financial markets - Solid understanding of risk management principles in trading environments
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posted 3 weeks ago
experience3 to 7 Yrs
location
Delhi
skills
  • Options
  • Equities
  • Commodities
  • Python
  • C
  • Statistics
  • Computer Science
  • Economics
  • Engineering
  • Performance Attribution
  • Statistical Arbitrage
  • LongShort
  • Risk Modelling
  • Portfolio Analytics
  • BlackLitterman
  • Factor Models
Job Description
Role Overview: As a Portfolio Manager specializing in Options, Long-Short, Equities, and Commodities, you will be responsible for leading and managing proprietary trading strategies. Your role is crucial in generating alpha, managing risk effectively, and collaborating with various teams to scale capital deployment and infrastructure. You are expected to blend data-driven insights with market intuition and take full ownership of your portfolio in a fast-paced environment. Key Responsibilities: - Develop and execute trading strategies across Options, Long-Short, Equities, and Commodities. - Utilize fundamental, quantitative, and/or systematic approaches to identify trading opportunities. - Drive alpha generation while maintaining strict discipline on risk and exposure. - Monitor market dynamics and macro/micro events to adjust strategy in real-time. - Collaborate with quants, data scientists, and engineers to refine models and tools. - Contribute to portfolio construction, optimization, and capital allocation decisions. - Establish risk controls, performance metrics, and operational checks for your strategies. - Maintain research pipelines to explore new signals, assets, and markets. Qualifications: - 3-7+ years of hands-on trading or portfolio management experience in Options, Long-Short, Equities, or Commodities. - Proven track record of generating consistent risk-adjusted returns. - Degree in a quantitative, financial, or technical field (e.g., Statistics, Computer Science, Economics, Engineering). - Proficiency in Python (required); experience with C++ is a plus. - Deep understanding of market microstructure, execution, and trading platforms. - Experience with systematic and/or discretionary models across intraday to multi-day horizons. - Strong analytical mindset and ability to handle large, noisy datasets. - Excellent communication skills and ability to work collaboratively in a fast-paced environment. - Professional integrity and a strong network in the trading/investment community. Additional Details: Founded in 2023, our team size ranges between 40-50 professionals. This role offers a high-impact opportunity for individuals who excel in combining data-driven insights with market intuition and are able to adapt quickly to changing environments.,
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posted 2 months ago

Proprietary Trading Analyst

Briteoption securities LLP
experience0 to 3 Yrs
location
Noida, Uttar Pradesh
skills
  • Trading
  • Equity Derivatives
  • Market Analysis
  • Risk Management
  • Data Analysis
  • Research
  • Excel
  • Commodity Derivatives
  • Technical Insights
Job Description
As a Proprietary Trader at the firm in Noida, your role will involve trading in equity and commodity derivatives using firm capital. You will be responsible for analyzing market trends, executing profitable trading strategies, managing risk efficiently in a high-paced environment, leveraging data, research, and technical insights for decision-making, as well as developing and refining your trading skills with professional mentorship. Key Responsibilities: - Trade in equity and commodity derivatives using firm capital - Analyze market trends and execute profitable trading strategies - Manage risk efficiently while working in a high-paced environment - Leverage data, research, and technical insights for decision-making - Develop and refine your trading skills with professional mentorship Qualifications Required: - Graduate (MBA/Professional Qualification Preferred) - NISM-Series VIII: Equity Derivatives Certification OR NISM-Series XVI: Commodity Derivatives Certification - Good Typing Speed - Strong Analytical & Mathematical Mindset - 0-2 Years of Experience (Freshers Welcome!) - Proficiency in Excel (Added Advantage) If you join the company, you will have the opportunity to trade with firm capital without any personal investment required. Additionally, you can earn a fixed salary along with performance-based incentives, work in a dynamic trading environment with growth opportunities, access cutting-edge trading technology and strategies, and be part of a professional and result-driven trading desk. If you are passionate about trading and financial markets, and have the required qualifications and skills, the company encourages you to apply by submitting your CV to TheBadChartist@gmail.com.,
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posted 1 week ago
experience3 to 7 Yrs
location
Delhi
skills
  • ETL tools
  • SQL scripting
  • Python
  • ETRM landscape
  • trading systems integration
  • data pipelines
  • ETRM platforms
  • trading venues
  • exchanges
  • posttrade processes
  • trading venue APIs
  • Azure cloud ecosystem
  • messaging frameworks
Job Description
As a Mid-Level Integration Expert at ETRMServices, you will play a crucial role in integrating Energy Trading and Risk Management (ETRM) systems with external trading venues, clearing houses, and downstream applications. Your responsibilities will include ensuring the smooth handling of the trade lifecycle from deal capture through settlement and reporting. You will also be responsible for building and supporting data pipelines for trade, risk, and operations data flows, collaborating with stakeholders, and contributing to automation and optimization of trade data exchange processes. Key Responsibilities: - Work on integration of ETRM systems with external trading venues, clearing houses, and downstream applications. - Ensure smooth handling of the trade lifecycle from deal capture through to settlement and reporting. - Build and support data pipelines for trade, risk, and operations data flows. - Collaborate with traders, risk managers, operations, and IT teams to ensure the timely and accurate flow of trade data. - Contribute to automation, monitoring, and optimization of trade data exchange processes. Qualifications Required: - Strong understanding of the ETRM landscape and end-to-end trade lifecycle. - Hands-on experience with ETRM platforms (knowledge of Aligne is a strong advantage). - Solid understanding of trading venues and exchanges such as ICE, Trayport, EEX, EPEX, Nord Pool etc. - Knowledge of post-trade processes (electronic confirmations, clearing, settlements, and billing). - Technical expertise in trading venue APIs (REST/ FIX/ proprietary) and integration workflows. - Experience with ETL tools, SQL scripting, Python, and Azure cloud ecosystem (Data Factory, Logic Apps, Functions preferred). - Exposure to messaging frameworks (MQ, Kafka, or similar) would be a plus. - Strong troubleshooting and problem-solving skills, with the ability to manage incidents under pressure. About ETRMServices: ETRMServices is a trusted IT partner serving the Energy Trading and Risk Management (ETRM) community globally. With a specialized focus on trading and risk management systems, we provide customized services tailored to meet the unique needs of our clients. Our managed services model ensures timely support for projects of all scales, backed by a global team providing 24/7 client support.,
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posted 2 months ago

Corporate Sales Specialist

Capitalus 360 Innovations Pvt Ltd
experience2 to 6 Yrs
location
Delhi
skills
  • Sales
  • Relationship Building
  • Financial Services
  • Market Trends
  • Analysis
  • Market Intelligence
  • Client Needs
  • Strategic Advice
Job Description
As a Sales Executive at Capitalus 360 Innovations Pvt. Ltd., you will play a crucial role in identifying and acquiring new clients by leveraging provided data and references. Your responsibilities will include: - Building and maintaining strong relationships with potential and existing clients. - Effectively presenting and promoting our financial services. - Achieving sales targets to contribute to the company's growth. - Staying updated with market trends, financial products, and client needs. Capitalus 360 Innovations Pvt. Ltd. is a dynamic and innovative financial services company specializing in unlisted shares, algorithmic trading, and proprietary trading. Our firm is dedicated to providing cutting-edge investment solutions and unparalleled services to our clients, ensuring they achieve their financial goals confidently and easily. In the unlisted shares market, we offer comprehensive services including detailed analysis, insightful market intelligence, and strategic advice. Our team of experts helps investors navigate the complexities of investing in unlisted shares, providing access to exclusive opportunities and potential high-growth investments not available in the public market.,
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posted 2 months ago

Algo Developer

E4 SOFTWARE SERVICES PRIVATE LIMITED
experience5 to 7 Yrs
location
Navi Mumbai
skills
  • exceptional organization
  • python
  • algorithms
  • code analysis
  • performance analysis
  • c++
  • object oriented programming
  • problem solving
  • data structures
  • front end
Job Description
a) Design, develop, and implement low-latency algorithmic trading strategies using languages like c and C++. b) Continuously analyse and optimize the performance, efficiency, and execution speed of existing algorithms and trading systems c) Work with quantitative analysts, traders, and other software engineers to build new features and improve trading models. d) Contribute to the development and maintenance of our proprietary trading platform, including order and execution management systems. e) Manage the deployment pipeline, monitor live trading system performance, and troubleshoot production issues in real-time.  a) Education: Bachelor's in Computer Science or related Streams. b) Programming expertise : 1) C++: For high-frequency, performance-critical applications. 2) C# : For Front End development. 3) Python : Basic Understanding of Python c) A solid understanding of data structures, algorithms, and object-oriented programming d) Problem-solving abilities: Exceptional analytical and problem-solving skills with a focus on delivering practical, high-quality solutions. e) A rigorous and detail-oriented approach to code development and performance analysis.  3. Nice to have a) Experience with high-frequency trading (HFT) platforms. b) Familiarity with financial messaging protocols like FIX.
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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 2 months ago
experience2 to 6 Yrs
location
Maharashtra, Pune
skills
  • Options Strategies
  • Market Making
  • Proprietary Trading
  • Analytical skills
  • Hedging techniques
  • Quantitative skills
Job Description
As an Options Trader at FundedVix, your role will involve executing options strategies, market making, proprietary trading, and hedging activities on a daily basis. You will have the flexibility of working part-time from our Pune office and some work from home. Your main responsibility will be to optimize trading strategies, ensure profitability, and manage risks effectively by closely collaborating with the team. Key Responsibilities: - Execute options strategies - Perform market making activities - Engage in proprietary trading - Implement hedging techniques - Collaborate with the team to optimize trading strategies Qualifications Required: - Proven skills in Options Strategies and Market Making - Experience in Trading and Proprietary Trading - Proficiency in Hedging techniques - Strong analytical and quantitative skills - Ability to work independently and in a collaborative environment - Preferably, experience in the financial markets, particularly the options market - A bachelor's degree in any field is a plus Join FundedVix, a premier proprietary trading firm dedicated to empowering skilled traders like you to achieve your financial goals in a risk-free trading environment. We support our traders in realizing their financial aspirations through collaboration and resourcefulness.,
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posted 2 months ago

Stock Market Trader

Onestop NRI Advisory Pvt Ltd
experience2 to 6 Yrs
location
All India
skills
  • Risk management
  • Stock trading
  • Derivatives trading
  • Research analysis
  • MS Office
  • Market trends analysis
Job Description
Role Overview: You will be responsible for monitoring market trends, analyzing data, managing risk through stop-loss orders, and engaging in proprietary and client stock trading. Additionally, you will be working with Nifty and Bank Nifty derivatives, reading research reports and news daily, and providing daily reporting using MS Office. Key Responsibilities: - Monitor market trends and analyze data - Manage risk through stop-loss orders - Engage in proprietary and client stock trading - Work with Nifty and Bank Nifty derivatives - Read research reports and news daily - Provide daily reporting using MS Office Qualifications Required: - Proficiency in monitoring market trends and analyzing data - Experience in managing risk through stop-loss orders - Knowledge of proprietary and client stock trading - Familiarity with Nifty and Bank Nifty derivatives - Strong ability to read research reports and news daily - Proficient in MS Office for daily reporting Please let us know your current CTC and where you reside. The work location is in Kandivali, Mumbai, Maharashtra, and you should be able to reliably commute or plan to relocate before starting work.,
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posted 2 months ago

Algo Trader

Arihant Capital Markets
experience3 to 7 Yrs
location
Maharashtra
skills
  • Python
  • C
  • Java
  • Risk Management
  • Market Research
  • Compliance
  • Performance Monitoring
  • Finance
  • Mathematics
  • Computer Science
  • Financial Markets
  • Trading Strategies
  • Machine Learning
  • Data Analysis
  • Structured Products
  • Algorithmic Trading
  • Quantitative Methods
  • Statistical Models
  • Regulation
  • HighFrequency Trading
  • Financial Derivatives
Job Description
As India's leading financial services and Broking Company with over 900 investment centers across the country, Arihant Capital shapes its actions based on the values of Integrity, Client Commitment, Respect, Excellence, and Innovation. **Key Responsibilities:** - **Strategy Development:** - Research, design, and develop proprietary algorithmic trading strategies across various asset classes. - Utilize quantitative methods and statistical models to identify profitable trading opportunities. - **Algorithm Implementation:** - Code, test, and implement algorithmic trading strategies using programming languages such as Python, C++, or Java. - Ensure the efficient execution of algorithms by collaborating with technology and infrastructure teams. - **Risk Management:** - Monitor and manage the risk associated with algorithmic trading strategies. - Implement risk controls and conduct ongoing performance analysis to optimize trading algorithms. - **Market Research:** - Stay abreast of market trends, economic indicators, and global events that may impact financial markets. - Conduct in-depth research to identify new trading opportunities and refine existing strategies. - **Collaboration:** - Work closely with other members of the trading team, as well as technology, compliance, and operations teams. - Collaborate with quantitative analysts and researchers to enhance trading models and algorithms. - **Compliance and Regulation:** - Ensure that all trading activities comply with relevant financial regulations and internal compliance policies. - Stay informed about changes in regulatory requirements and adjust strategies accordingly. - **Performance Monitoring:** - Monitor and evaluate the performance of trading algorithms in real-time. - Implement improvements and adjustments based on ongoing analysis. **Qualifications and Skills:** - Bachelor's or advanced degree in finance, mathematics, computer science, or a related field. - Proven experience as an algorithmic trader in a financial institution or proprietary trading firm. - Strong programming skills in languages such as Python, C++, or Java. - Deep understanding of financial markets, trading strategies, and risk management. - Excellent analytical and quantitative skills. - Ability to work in a fast-paced and dynamic trading environment. - Strong communication and teamwork skills. (Note: No additional details of the company were provided in the job description.),
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posted 1 week ago

Prop Dealer

ULJK Financial Services
experience3 to 7 Yrs
location
Maharashtra
skills
  • Bloomberg
  • Odin
  • excel
  • Neat Plus
  • prop trading
Job Description
You are proficient in executing trades using Bloomberg, Neat Plus, Odin, or similar systems. Your expertise lies in executing directional proprietary trades efficiently and you have experience with NEAT Plus and Odin. You are familiar with dealing in Cash and FNO Equity Segment and trading on behalf of proprietors. Additionally, you are skilled in Excel and proprietary trading. Certification: - NISM Series VIII Equity Derivatives Certification - NISM Series VII Security Operations & Risk Management Certification Educational Qualification: - Masters/Bachelor of Commerce and/or Finance The company, ULJK Group, is located at BSE Tower, 11th Floor, 1119 Dalal Street, Fort, Mumbai 01. You can contact them at 022 66510110 or 022 66510111. To know more about the company, visit their website at www.uljk.in. You should have a minimum of 3 years of experience in the mentioned field. The salary will be as per your experience level. If you meet the qualifications and are interested in this position, please apply to [email protected],
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posted 3 weeks ago

Prop Trader

Grape Services Pvt Ltd
experience3 to 7 Yrs
location
Kolkata, West Bengal
skills
  • Trading
  • Market Analysis
  • Risk Management
  • Content Creation
  • Social Media Marketing
  • Prop Trader
Job Description
As a Prop Trader at our firm, your role will involve a combination of professional trading responsibilities and marketing activities to enhance brand awareness and community engagement. **Role Overview:** You will be responsible for trading firm capital profitably across various asset classes such as Forex, Indices, Commodities, Stocks, and Crypto. Your role will also include developing and executing trading strategies, maintaining trade records, managing risks effectively, and continuously improving trading strategies through research and analysis. **Key Responsibilities:** - Trade firm capital within defined risk limits across multiple asset classes. - Develop and implement trading strategies based on market analysis, price action, and data insights. - Maintain detailed records of trades and performance metrics. - Manage risks effectively and adhere to trading rules and drawdown limits. - Continuously enhance trading strategies through research, testing, and performance analysis. **Brand Awareness & Outreach:** - Represent the firm on social media platforms, trading communities, and events. - Create engaging trading-related content such as videos, posts, webinars, and market insights. - Educate aspiring traders about proprietary trading and the firm's programs. - Collaborate with the marketing team to enhance the firm's online presence and credibility. - Participate in workshops, trading sessions, and online AMAs to increase awareness about the firm. **Qualifications Required:** - Prior experience in proprietary trading or professional trading roles. - Strong understanding of various asset classes like Forex, Indices, Commodities, Stocks, and Crypto. - Excellent analytical skills with the ability to develop and execute trading strategies effectively. - Good communication skills to engage with trading communities and represent the firm effectively. - Ability to manage risks, adhere to trading rules, and continuously improve trading performance. Join us in this exciting role where you can combine your trading expertise with marketing skills to drive profitability and brand awareness for our firm.,
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posted 2 months ago
experience5 to 9 Yrs
location
All India
skills
  • Client Relationship Management
  • Business Development
  • Team Building
  • Risk Management
  • Market Analysis
  • Arbitrage Trading
  • Technology Optimization
Job Description
As a Derivatives Sales Trader specializing in arbitrage strategies, you will play a crucial role in establishing and expanding our client's arbitrage trading desk. Your primary focus will be on leveraging your existing client relationships to drive revenue generation through various arbitrage strategies across cash and derivative markets. You will be responsible for business development, client relationship management, technology optimization, team building, risk management, and market analysis to deliver superior trading opportunities to clients. - Expand and leverage a strong network of relationships with local Mutual Fund arbitrage desks and foreign Proprietary Trading firms and Hedge Funds to drive revenue for the derivatives arbitrage desk. - Identify and execute various arbitrage strategies such as daily arbitrage churn, rollover level analysis, dividend arbitrage, and special situation arbitrage. - Evaluate and enhance the technology infrastructure to optimize for ultra-low latency and best-in-class pricing, collaborating with technology teams for business continuity. - Recruit, train, and mentor a high-performing team to build out the derivatives arbitrage desk, fostering a culture of excellence and continuous learning. - Adhere to all regulatory requirements and internal risk management policies to ensure ethical trading activities within established guidelines. - Stay updated on market trends, regulatory changes, and technological advancements to identify new arbitrage opportunities and provide valuable insights to clients. - Minimum of 5 years of experience as an Arbitrage Sales Trader within a reputable financial institution. - Proven track record of establishing and maintaining strong client relationships, particularly with local Mutual Fund arbitrage desks. - Demonstrable experience in executing daily arbitrage churn strategies, rollover levels analysis, dividend arbitrage trades, and special situation arbitrage opportunities. - Familiarity with trading platforms, order management systems, and implementing trading solutions with technology teams. - Bachelor's or Master's degree in Finance, Economics, or a related quantitative field from a recognized institution. Relevant certifications will be advantageous. - Deep understanding of derivatives markets, arbitrage strategies, analytical and quantitative skills, market microstructure, technical proficiency, communication skills, problem-solving abilities, risk management principles, and regulatory awareness in derivatives trading.,
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posted 1 week ago

Derivatives Trader

Derivix Fintech Solutions Pvt Ltd
experience3 to 7 Yrs
location
All India
skills
  • Statistical Analysis
  • Risk Management
  • Market Structure
  • Quantitative Models
  • Market Microstructure
  • APIs
  • Quant Trading
  • Quantitative Strategies
  • Automated Strategies
  • Regulatory Developments
  • Risk Control Methodologies
  • Trading Platforms
  • Market Data Systems
Job Description
Role Overview: If you are a self-motivated and exceptional Trader with a strong foundation in quantitative trading, then this opportunity to join our Quant Trading desk in Noida is perfect for you. You will be able to utilize data, technology, and statistical methods to identify and execute high-probability trading opportunities across various markets. As a part of our high-performing team, you will have the freedom to innovate, take ownership of your trading strategies, and thrive in a performance-driven environment supported by cutting-edge infrastructure and capital resources. Key Responsibilities: - Design, develop, and manage quantitative strategies across different asset classes. - Identify and leverage market inefficiencies and pricing anomalies through automated and semi-automated strategies. - Continuously improve strategy performance by conducting statistical analysis, back-testing, and real-time monitoring. - Implement risk management practices, including position sizing, exposure monitoring, and performance attribution. - Stay abreast of market structure changes, regulatory developments, and technological shifts that influence trading efficiency. Qualifications Required: - Demonstrated interest and learning in Quant Trading with a focus on developing trading mindsets and strategies. - Ability to independently conduct research and create new trading strategies without requiring constant supervision. - Previous experience in quantitative trading at a proprietary desk, hedge fund, or HFT setup is desirable. - Profound understanding of quantitative models, market micro-structure, and statistical methods. - Proficiency in processing large datasets, extracting actionable insights, and constructing logic-driven trading frameworks. - Strong grasp of risk control methodologies and real-time risk monitoring. - Capability to make prompt and rational decisions in high-stakes market scenarios. - Consistent composure during volatile market conditions. - Willingness to learn, adapt, and refine strategies in alignment with market dynamics. - Familiarity with trading platforms, APIs, market data systems, and low-latency environments. - Comfortable collaborating in cross-functional teams with developers, researchers, and risk professionals. - Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, or related fields. Additional Details: This is a full-time position based in Noida. Paid time off is among the benefits offered. (Note: Work Location is In person),
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posted 2 months ago

Trade Operations Analyst

Intercontinental Exchange
experience2 to 6 Yrs
location
Hyderabad, Telangana
skills
  • Customer Service
  • Market Operations
  • Trading Operations
  • Communication Skills
  • Analytical Skills
  • Market Surveillance
  • ProblemSolving
  • Team Player
Job Description
As a Trade Operations Analyst at ICE, you will play a crucial role in operating and monitoring ICE Endex's gas spot markets. Your responsibilities will involve supporting the orderly trading and operations of short-term European physical gas markets, ensuring the correct administration of transactions, monitoring market parties" conduct, and providing timely assistance to customers. Your role is essential in maintaining ICE's commitment to customer service, integrity, and transparency in financial marketplaces. You will be engaged in day-to-day operational activities, ad hoc reporting, and market surveillance support. The ideal candidate for this position should be team-oriented, self-motivated, possess strong communication and presentation skills, and demonstrate a solid understanding of customer support excellence. - Support the orderly trading and operations of short-term European physical gas markets - Ensure correct and timely administration of transactions in an automated system - Monitor market parties" conduct with respect to exchange market rules - Adhere to critical nomination timelines for pipeline flow alignment with demand - Assist new and existing companies in efficient use of proprietary systems, issue resolution, problem-solving, and training - Provide quick responsiveness to customers for functionality support and issue resolution - Monitor system health and usage, escalating recurring or high-priority issues - Provision access to tools and applications required for customer connectivity with ICE - Conduct real-time surveillance of electronic trading activity in ICE products - Produce operational reports for metrics and query tracking - College degree or equivalent work experience in a customer-focused environment - Knowledge of commodity markets, financial trading, or energy is advantageous - Strong problem-solving and analytical skills, attention to detail, and multitasking abilities - Excellent communication skills with demonstrated interpersonal skills - Team player with a commitment to customer service - Proficiency in computers, including Microsoft Office applications and operating systems Note: This role supports global customers 24/7, requiring rotating shifts including nights and weekends.,
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posted 1 month ago
experience0 to 4 Yrs
location
Karnataka
skills
  • Financial Modeling
  • Capital Allocation
  • Financial Analysis
  • Portfolio Management
  • Risk Management
  • Equity Research
  • Stock Markets
  • Researchdriven Investing
  • Macroeconomic Indicators
Job Description
Role Overview: As a Capital Market Analyst Intern at PipRaisers, you will assist in macro and micro-level investment research, multi-asset portfolio development, and sector-wise allocation strategies. You'll gain real-time exposure to market data interpretation, trade analytics, and investment decision-making, while working with mentors experienced in institutional-style trading and analysis. Key Responsibilities: - Track and analyze global equity, bond, and derivative market trends - Study macroeconomic indicators, central bank policies, and rate cycles - Support creation and review of diversified investment portfolios - Conduct industry and company-specific research for portfolio inclusion - Prepare investment rationales, backtesting models, and risk dashboards - Collaborate with senior analysts to draft market outlook reports - Assist in constructing model portfolios and tracking key performance metrics Qualifications Required: - Students or graduates in Finance, Economics, Quant, or Commerce domains - Passionate about stock markets, research-driven investing, and capital allocation - Solid understanding of ratios, financial modeling, and macro trends - Familiar with tools like Screener, NSE/BSE, TradingView, Investing.com, Excel - Strong analytical skills and willingness to learn dynamic portfolio strategies - Bonus: Experience in mock investing, equity research competitions, or market journaling About PipRaisers: PipRaisers is a research-led proprietary trading and portfolio mentorship firm focused on training the next generation of high-performance capital market professionals. We specialize in cross-asset research, portfolio construction, and execution-level decision-making across global equities, fixed income, and derivative markets. Application Deadline: 30th of the Month Start Date: Immediate,
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posted 2 weeks ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Python
  • R
  • C
  • Statistical analysis
  • Risk management
  • Market structure
  • Data processing
  • Quantitative arbitrage trading
  • Algorithmic trading
  • Risk control methodologies
Job Description
As an Arbitrage Trader at our proprietary desk in Bangalore, Karnataka, India, you will play a crucial role in leveraging data, technology, and statistical methods to identify and execute high-probability arbitrage opportunities across markets. You will be part of a high-performing team that encourages innovation, ownership of trading strategies, and operates in a performance-driven environment supported by cutting-edge infrastructure and capital. Key Responsibilities: - Design, develop, and manage quantitative arbitrage strategies across different asset classes. - Identify and exploit market inefficiencies and pricing anomalies through automated and semi-automated strategies. - Continuously improve strategy performance through statistical analysis, back-testing, and real-time monitoring. - Manage risks effectively by monitoring position sizing, exposure, and performance attribution. - Keep abreast of market structure changes, regulatory developments, and technological shifts affecting trading efficiency. Skills & Requirements: - Proven track record in quantitative arbitrage trading at a proprietary desk, hedge fund, or HFT setup. - Strong understanding of quantitative models, market micro-structure, and statistical methods. - Proficiency in Python (preferred), R, C++, or similar languages for strategy development and automation. - Ability to analyze large datasets, derive actionable insights, and construct logic-driven trading frameworks. - Sound knowledge of risk control methodologies and real-time risk monitoring. - Capable of making rational decisions swiftly in high-pressure market scenarios. - Maintain composure during volatile market conditions. - Willingness to adapt, learn, and refine strategies in alignment with market dynamics. - Familiarity with trading platforms, APIs, market data systems, and low-latency environments. - Comfortable collaborating in cross-functional teams with developers, researchers, and risk professionals. - Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, or related field. - Advanced qualifications such as CFQ, FRM, CMT are considered advantageous.,
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