G-20 Group is a cross-asset trading firm headquartered in Switzerland, trading delta-one and derivatives markets globally. We combine startup agility with institutional-grade experience in proprietary trading, technology, and quantitative finance.
Role Overview
As an Equity Options Trader at G-20, you will be responsible for managing and optimizing a discretionary equity options portfolio. You will collaborate with a team of traders, quantitative researchers, and developers to enhance pricing models, refine trading strategies, and drive superior risk-adjusted returns. This role offers a unique opportunity to contribute to G-20's continued expansion within a fast-paced and dynamic trading environment.
Key Responsibilities
Develop, implement, and refine equity options trading strategies with a focus on small-cap equities.
Analyze market microstructure, order flow, and volatility dynamics (including skew, term structure, and implied vs. realized volatility) to identify and capitalize on trading opportunities.
Collaborate with quantitative analysts and developers to improve options pricing models, hedging algorithms, and execution tools.
Maintain strong awareness of corporate actions, earnings events, and sector-specific catalysts that influence equity and options markets.
Execute trades with precision across listed equity options, ensuring best execution and liquidity management.
Manage portfolio Greeks (delta, gamma, vega, theta) and adjust hedges dynamically in response to changing market conditions.
Contribute to the continuous enhancement of G-20's trading infrastructure, data pipelines, and analytical frameworks.
Monitor portfolio performance and risk metrics, providing regular feedback on strategy effectiveness and market impact.
Requirements
Degree in Finance, Mathematics, Physics, Computer Science, Engineering, or a related field from a top-tier university.
Strong background in options trading with a solid understanding of options pricing theory, volatility trading, and relevant strategies. Experience in high volatility asset classes and leveraged trading is essential.
Proven track record of generating consistent profits (PnL >$2m annually for more than 3 years).
Experience with quantitative trading and the ability to apply data analysis to trading decisions.
Exceptional analytical and problem-solving abilities, capable of making quick, data-driven decisions.
Excellent communication and collaboration skills, with the ability to collaborate effectively across teams.
Demonstration of a results-driven, proactive, and self-motivated approach.
Preferred / Desirable Experience
Experience in a proprietary trading, market-making, or hedge fund environment.
Familiarity with automation and algorithmic execution strategies for options.
Proficiency with trading and analytical tools (e.g. Python, Excel/VBA, SQL).
Right to work: This role can be based out of our Zurich, London, New York or Hong Kong office. Only candidates who possess the pre-existing right to work in one of the locations above without company sponsorship need apply.
Join G-20 Group and be a part of a team that is at the forefront of financial markets, driving innovation and excellence in the sector.
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