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.