Overview
As Exotics Single Stocks Trader, you will manage a sophisticated book of single stocks and custom indices across vanilla and exotic derivatives. You’ll trade to hit revenue targets while controlling multi-dimensional risk, collaborating with Sales, Structuring, and other desks to expand the franchise. The role offers strategic influence, autonomy, and opportunities to shape product innovation in a dynamic asset class. You will work closely with cross-functional teams to deliver tailored solutions and robust risk management for institutional and retail clients.
Pay / Benefits
- 27 days annual leave
- discretional annual performance bonus
- Private Medical Care & Life Insurance
- Pension Plan
- Parental Leave
- hybrid working model
Responsibilities
- Trade and manage the Single Stocks Exotics book, delivering revenue while controlling delta, gamma, vega, correlation, and earnings/event risk
- Provide two-way pricing and market-making for client flow across structured products and exotic-to-vanilla links
- Anticipate client demand and co-create bespoke baskets with Sales and Structuring
- Maintain strategic relationships with internal and external counterparties to drive growth and optimize execution
- Coordinate cross-desk collaboration to manage inter-book risk and hedging strategies
- Lead governance, controls, and compliance with Legal, Risk, Audit, and Finance
- Manage corporate action events and contract adjustments affecting pricing and hedging
- Partner with Sales to structure and execute risk-recycling solutions
Key requirements
- Direct trading or structuring experience in Equity Derivatives with exotic products and multi-asset risk management
- Advanced quantitative and analytical capability with options pricing, stochastic volatility, and risk scenario analysis
- Strong technical proficiency with Bloomberg Terminal and trading platforms; programming experience in Python or VBA
- Excellent interpersonal and communication skills for stakeholder and client engagement
- Proven ability to pitch structured solutions and balance revenue with risk
- Bachelor’s degree in Finance, Economics, Mathematics, Engineering, or related quantitative discipline; advanced degrees or certifications preferred
- stakeholder relationship-building
- clear communication
- commercial acumen
- Bloomberg Terminal
- trading platforms
- Python
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