香港全职 - 顶级投行,摩根大通招Equity Risk Trader - Associate/ VP!

职场   2024-11-18 08:30   中国香港  

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关于公司

J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world’s most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives.

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Equity Risk Trader - Associate/ Vice President


工作地点:

香港


职位描述:


JOB DESCRIPTION

This role sits within the front office and will be working on a dynamic and busy trading floor. 

The Equities business at J.P. Morgan provides a full complement of equity and equity-linked solutions to institutional investor clients from ideas and insights from top-ranked analysts, to high-touch sales and trading services, to world-class algorithmic and electronic trading capabilities.  Our sales and trading professionals work in coordination with our capital markets professionals to help issuers access the equity markets as a top-tier equity underwriter.

As an Associate/ Vice President in the High Touch Cash Equities Risk trading team, you will work alongside and collaborate with Central Risk Book, Program Trading, Quant Research and Technology to help the High Touch business price, hedge and unwind client linked risk in a more efficient manner whilst being an active participant in the generation of new and optimization of current inventory management strategies. 

Job Responsibilities

Work with the High Touch Cash Trading team to use a quantitative approach to improve the pricing, hedging and unwind of client delivered risk

Work with colleagues in Quantitative research and technology to develop new and improve existing tools that help source and analyze new and existing trades & strategies 

Assist senior traders in the evaluation of new trading ideas and strategies 

Develop a comprehensive understanding of the block trade lifecycle and work proactively to improve all aspects of it 

Use existing markets & trading expertise to grow into a key member of the team with responsibilities for managing and overseeing a range of exposures across APAC

Research, backtest & implement liquidity provision strategies.

Constant interaction with the cash equity, derivatives & delta-1 trading and sales trading desks in the context of daily trades and the broader trading relationship.

Required qualifications, capabilities, and skills

Advanced quantitative degree; an academic background with Buy or sell-side experience is desired

Experience risk managing portfolios, understanding of factor risk modelling

Exposure to statistical modelling, time series or other data modelling experience

Very self-motivated, willing to be part of a very dynamic and ambitious team

Confident communication skills – must be able to effectively engage with a diverse set of partners and dependents to the High Touch Cash Trading team efforts

Coding ability & experience; 

Preferred qualifications, capabilities, and skills

Python

Knowledge of kdb/q is highly advantageous




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