Risk Optimisation Expert

3 weeks ago


London, Greater London, United Kingdom Intellect Group Full time
About the Role

As a Quantitative Trader at Intellect Group, you will be responsible for managing market risk and optimising trading processes. You will also contribute to the development of new tools and products that enhance controls and boost efficiency.

Your Key Responsibilities:

  1. Risk Management: Manage market risk exposures and ensure alignment with the firm's risk policies.
  2. Trade Execution: Optimise trade execution and oversee internal and external order executions.
  3. Trading Analysis: Conduct detailed analyses of trading activity and provide insights for improvement.
  4. System Performance: Ensure pricing accuracy and optimise system performance for reliability and accuracy.
  5. Process Improvement: Enhance system parameters to improve execution quality and trading efficiency.
  6. KPI Development: Establish effective KPIs to track and refine trading data and strategies.
  7. Collaboration: Collaborate with internal teams to develop innovative trading and risk management tools.
  8. Monitoring: Lead ongoing monitoring of execution quality and prepare comprehensive monthly reports.
  9. Market Trend: Stay updated with industry changes, regulatory updates, and technological advancements.
  10. Mentorship: Mentor junior team members and promote a high-performing and collaborative culture.

Requirements:

  • Experience: 5+ years in a similar role, ideally with equities focus.
  • Industry Knowledge: Strong interest in financial markets and familiarity with the online retail brokerage industry.
  • Regulatory Awareness: Up-to-date knowledge of market practices and regulatory requirements.
  • Educational Background: Minimum Bachelor's degree in a relevant field, ideally with a focus on Engineering, Mathematics, or Economics.
  • Technical Skills: Proficiency in SQL and Python.
  • Communication Skills: Strong written and verbal skills, with the ability to clearly explain complex concepts.
  • Analytical Strength: High numeracy and strategic approach to trading and risk management.
  • Adaptability: Ability to work under pressure with a goal-driven attitude.
  • Attention to Detail: Accuracy and a proactive approach to problem-solving.
  • Leadership Ability: Demonstrated leadership skills and the capacity to mentor junior colleagues.

The Compensation:

  • Salary: £120,000 - £180,000 per annum.
  • Annual Bonuses: Additional performance-based rewards.

About Us:

  • Growth Opportunities: Rapid career advancement in a dynamic, high-impact role.
  • Impactful Work: Contribute to the development of tools and services that empower millions of investors.
  • Collaborative Team Environment: Join a talented and motivated team united by a common goal.
  • Flexible Culture: Enjoy a flexible, innovative work environment where ideas are valued.


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