The candidate will run his/her own risk-taking strategies in his/her individual book, where the objective will be for a yearly PnL of > than 2.0 mln after having agreed with Management a precise risk framework. Furthermore, he/she will help generate trade ideas and strategies that might be shared with colleagues and potentially deployed in one of the Equity Portfolio management books.
Experience Required
From 6 to 10 years of autonomous risk-taking.
Skills and Competences Required
* The candidate should possess a track record in Equity trading in a professional financial institution (banks, HFs, asset managers, etc).
* He/she should have an excellent top-down approach for EU markets, and US market experience is a plus.
* He/she will run an individual trading book and participate fully in the research and implementation of the desk trading strategies.
* Bachelor's Degree in Financial Disciplines; Master's and CFA are a plus.
* Excellent analytical skills with particular focus on bottom-up analysis in single stocks and sectors.
* The candidate should be able to develop new trading and hedging strategies and work on different projects while being an excellent team player within the Desk.
* He/She should possess a strong ability to work under pressure and deliver results smoothly and on time.
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