Senior Trader (Equity Derivatives) -(H/F)

CDI|New York|Banque de financement et d'investissement

Senior Trader (Equity Derivatives) -(H/F)

New York, Etats-Unis CDI Banque de financement et d'investissement

Vos missions au quotidien

Oversee a team of traders within the linear perimeter/Prime Services. Perform managerial and supervisory functions, including responsibility for desk Risk and Profit and Loss (PnL). Contribute to the development of the linear infrastructure collateral management, including collateral optimization strategies. Improve internal reporting. Automate collateral decision making. Manage and monitor Prime Brokerage balances, including client interaction on market intelligence and opportunities. Monitor financing and securities lending daily. Cooperate with sales on continued build out of the platform. Monitor client profitability. Automate internal optimization processes. Manage regulatory ratios (scarce resources), including Leverage, Liquidity Coverage Ratio (LCR), and liquidity ratios based on futures cash flows. Use strong communication skills (verbal and written) to provide detailed explanations of the sources of revenues per strategies and risks. Must work from company headquarters (245 Park Avenue, New York, NY 10167) 3 days a week. May work remotely for remaining 2 days per week.

Et si c’était vous ?

MINIMUM REQUIREMENTS: Bachelor’s degree or U.S. equivalent in Engineering, Finance, Mathematics, Computer Science, or related field, plus 5 years of professional experience at a global financial institution in multiple regions analyzing and managing profit and loss (PnL) and equity trading risk (including analysis of financial data and historical pricing, conducting pricing simulations, and performance and risk analysis) to automate and enhance book management and risk reporting. Must also have the following: 2 years of professional experience optimizing existing trade flows; 2 years of professional experience optimizing global book position and scarce resources (including cash consumption, liquidity ratios, and balance sheet); 2 years of professional experience rationalizing and automating Front Office to Back Office processes. In lieu of a Bachelor’s degree plus 5 years of experience, the employer will accept a Master’s degree or U.S. equivalent in Engineering, Finance, Mathematics, Computer Science, or related field, plus 3 years of professional experience at a global financial institution in multiple regions analyzing and managing profit and loss (PnL) and equity trading risk (including analysis of financial data and historical pricing, conducting pricing simulations, and performance and risk analysis) to automate and enhance book management and risk reporting. Must also have the following: 2 years of professional experience optimizing existing trade flows; 2 years of professional experience optimizing global book position and scarce resources (including cash consumption, liquidity ratios, and balance sheet); 2 years of professional experience rationalizing and automating Front Office to Back Office processes.


CONTACT: Please send resume to: Human Resources or SG Recruitment Team, SG Americas Securities, LLC, 245 Park Avenue, New York, NY 10167, at us-humn-recruitment@sgcib.com. Must specify Ad Code EBTF in the subject line. EOE. MFDV.

Pourquoi nous choisir ?

SG Americas Securities LLC, New York, NY

Nous sommes un employeur garantissant l'égalité des chances et nous sommes fiers de faire de la diversité une force pour notre entreprise. Le groupe s’engage à reconnaître et à promouvoir tous les talents, quels que soient leurs croyances, âge, handicap, parentalité, origine ethnique, nationalité, identité sexuelle ou de genre, orientation sexuelle, appartenance à une organisation politique, religieuse, syndicale ou à une minorité, ou toute autre caractéristique qui pourrait faire l’objet d’une discrimination.

Référence: 21000BV6
Entité: SG CIB
Date de début: immediat
Date de publication: 26/04/2021
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