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This position will cover operations related to the clients futures, cleared swaps and options positions held on various exchanges and be specifically responsible for trade analysis, cash forecasting, reconciling realized and unrealized PnL, coordinating with a number of different business units, and completing ad hoc projects as necessary.
You must have working knowledge of listed and OTC derivatives and most importantly be motivated to work in an environment that is going through significant change and improvement, including ultimately complete automation of the reconciliation process.
You will be an individual who is comfortable working in a flat structured, autonomous & entrepreneurial environment with good analytical skills and advanced Excel skills. Any VBA, Python or SQL skills would also be useful. An interest in commodity trading markets and experience of automating processes or systems will be well received.
There will also be daily exposure to senior management on both the trading and operations side of the global business and as such this is an exciting role for someone looking to expand their experience and develop their career within a global trading house that is growing exponentially.