Vacancy Description
- Price, execute, and risk manage structured products across FX, rates, and credit asset classes
- Provide competitive pricing to clients
- Manage day-to-day P&L and Greeks exposure, including delta, gamma, vega, theta, and correlation risk
- Develop and implement hedging strategies across vanilla and exotic derivatives
- Collaborate with sales teams to design innovative payoff structures tailored to client needs
- Handle the new product procedures
- Monitor and manage portfolio risk within approved limits
- Comply with all internal and external regulatory ratios
- Handle any ad hoc assignments
Requirements
- Bachelor’s degree or above, preferably in Finance or another business-relevant discipline
- At least have 8 years or more experience in the financial industry covering structured products
- Strong understanding of exotic option pricing, model calibration, and volatility surf...
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