We have an urgent opening for the position of Derivatives Analyst for a reputed Industry for Navi Mumbai(Vashi) location.
Key Responsibilities:
- Market Analysis: Conduct in-depth research and analysis of financial markets, economic indicators, and various asset classes to identify potential trading opportunities.
- Trade Execution: Execute trades involving derivatives instruments, such as options, futures, swaps, and other complex financial products, based on market analysis and client requirements.
- Risk Management: Develop and implement risk management strategies to protect against potential losses and manage exposure to market fluctuations.
- Portfolio Management: Manage derivative trading portfolios for clients or the organization,ensuring proper diversification and adherence to investment objectives.
- Trade Monitoring: Continuously monitor market movements and positions to make timely adjustments to trading strategies.
- Client Communication: Communicate with clients, providing them with market insights, updates on trades, and performance reports.
- Compliance and Regulation: Adhere to relevant financial regulations and compliance policies while executing trades and managing client portfolios.
- Performance Reporting: Prepare and present performance reports and trading results to clients or management.
- Financial Modeling: Utilize financial models and quantitative analysis techniques to assess risk and evaluate potential trading strategies.
- Technology Utilization: Leverage trading platforms, algorithmic trading tools, and market data systems to optimize trading efficiency.
- Relationship Management: Build and maintain solid relationships with clients, brokers, and other relevant stakeholders.
- Continuous Learning: Stay updated with industry trends, new financial products, and market developments to enhance trading strategies.
Requirements:
- Bachelor's degree in Finance, Economics, Mathematics, or a related field. Advanced degrees or