Key Responsibilities
Summarize and report daily Derivatives transactions.
Track and report rollover activities across portfolio.
Monitor and report opening and closing net positions.
Calculate Derivative quantities required for Hedging.
Analyze portfolio P&L; attribution and communicate key risks to management on daily basis.
Educational Qualifications
CA (May 2026 Attempt), or MBA (Finance 2026).
Domain Knowledge
In-depth knowledge of Futures & Options traded in Indian financial markets.
Knowledge of Structured Products.
Skills & Competencies
Advanced proficiency in Microsoft Excel.
Ability to work with and analyze large datasets.
Solid attention to detail.
NOTE: Candidates based in Mumbai will be preferred.