Company Description Martingale Derivatives is a global macro and derivatives research firm operating at the intersection of macroeconomics, quantitative finance, and emerging technologies. The organization focuses on analyzing global financial markets by combining macroeconomic trends, monetary policy developments, and geopolitical risks with advanced quantitative methods. Through rigorous research and development, Martingale Derivatives aims to shape the future of finance by integrating traditional macro principles with decentralized and algorithmic systems.
Team members join a highly analytical environment that values innovation, technical excellence, and impact-driven work.
Key Responsibilities
- Execute and monitor F&O; trades across index and equity derivatives
- Monitor market movements, volatility, Greeks, margins and exposure
- Follow defined trading and risk-management protocols
- Manage intraday positions and ensure accurate execution
- Track P&L;, positions and risk in real time
- Maintain trade records and assist with daily trading reports
Requirements
- Solid understanding of Futures & Options and derivatives markets
- Good knowledge of options Greeks, volatility, spreads and hedging
- Strong numerical and analytical skills
- Disciplined approach to trading and risk management
- Ability to perform under high-pressure market conditions
Preferred
- NISM Series VIII – Equity Derivatives Certification
- Prior professional/proprietary F&O; trading experience
- Hands-on experience with ODIN / XTS trading terminal
- Knowledge of systematic/volatility trading is an advantage
? Location: Hyderabad
? Type: Full-Time
If you’re passionate about derivatives trading and have a strong focus on execution and risk management, DM us with your CV/profile.