Mid-Level FX Volatility Trader
g-20-advisors-ag · Zürich
Description du poste
About the role
G-20 Group is a cross‑asset proprietary trading firm based in Switzerland. As a Mid‑Level FX Volatility Trader you will manage and grow proprietary FX volatility strategies across G10 and emerging‑market currencies.
Key responsibilities
- Manage proprietary FX volatility portfolios, including vanilla and structured options.
- Generate and execute discretionary and quantitative volatility strategies such as directional, relative‑value and event‑driven trades.
- Price, structure and execute FX options while actively managing Greeks and overall portfolio risk.
- Develop quantitative tools for pricing, volatility forecasting and trade selection.
- Collaborate with quantitative researchers and developers to improve pricing models and trading infrastructure.
Required profile
- Bachelor’s or Master’s degree in a quantitative discipline (Finance, Mathematics, Physics, Engineering, Computer Science, etc.).
- 4+ years of experience trading FX options or volatility strategies in a bank, prop‑trading firm, hedge fund or market‑making environment.
- Demonstrated understanding of FX options pricing, implied volatility surfaces, Greeks and risk management.
- Strong knowledge of G10 FX markets and macroeconomic drivers of volatility.
Required skills
- Python (or similar programming language) for data analysis, strategy development or automation.
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g-20-advisors-ag
Zürich