Electronic Trading Risk Management Associate Morgan StanleyElectronic Trading Risk Management AssociateNew York, New York$100,000–$140,000 / yearMonitor and review Operational Risk Events and self-identified issues relating to or impacting eTrading> Collaborate across a diverse set of stakeholders including Sales and Trading Business Units, Quantitative Strategists, Business Unit Risk Management, Compliance, Technology and Operations.> Communicate key risks to senior management> Contribute and support global and regional Risk governance committees, forums, and working groups > Suitable candidates will have an excellent academic background including a degree in a quantitative discipline, such as economics, finance, sciences or engineering.> >* Experience in a role with direct exposure to electronic trading (Risk Management, Technology, Operational Risk) or experience in trading systems, FIX messaging, market-microstructure or market data>* Experience with trading infrastructure for Wealth Management or Investment Management Firms advantageous>* Knowledge of financial markets and equity product>* Experience with creating and managing KRIs/KPIs with escalation through proper governance >* Strong ability to think critically and desire to learn.>*
Public Finance Trading Director Truist Financial CorpPublic Finance Trading DirectorNew York, NYGeneral Description of Available Benefits for Eligible Employees of Truist Financial Corporation: All regular teammates (not temporary or contingent workers) working 20 hours or more per week are eligible for benefits, though eligibility for specific benefits may be determined by the division of Truist offering the position. Responsible for managing individual credit trading book with multiple sectors including but not limited to risk management, trade execution, pre/post trade analysis, sector analysis, idea generation, hedging, and attributable P&L.
NewSenior Trading Associate Farther FinanceSenior Trading AssociateHybrid - New York, NYImpactu003c/strongu003eu003c/pu003enu003culu003enu003cliu003eExecute and manage trades across RIA advisory accounts and advisory platforms, ensuring accurate order entry, allocation, and settlement.u003c/liu003enu003cliu003eOversee the end-to-end trade lifecycle, including order management, trade confirmation, allocation, and post-trade reconciliation across equities, ETFs, mutual funds, and fixed income.u003c/liu003enu003cliu003eMonitor trading activity to identify exceptions, discrepancies, or settlement breaks, and lead investigations through resolution.u003c/liu003enu003cliu003ePartner with Compliance and Operations leadership to ensure adherence to FINRA, SEC, and firm trading policies.u003c/liu003enu003cliu003eSupport trade execution for advisors during large asset transitions, portfolio restructures, and client-driven trade activity, including portfolio rebalancing and model implementation.u003c/liu003enu003cliu003eIdentify opportunities to streamline trading workflows and reduce manual operational risk; partner with technology and operations teams to enhance trading systems and automation capabilities.u003c/liu003enu003cliu003eContribute to the design and documentation of scalable trading procedures and operational playbooks as the firm grows.u003c/liu003enu003c/ulu003enu003cpu003eu003cstrongu003eThe Ideal Matchu003c/strongu003eu003c/pu003enu003culu003enu003cliu003eBachelor's degree in Finance, Economics, Business, or a related field.u003c/liu003enu003cliu003e4+ years of experience in trading operations, investment operations, or trade execution within wealth management, asset management, or broker-dealer environments.u003c/liu003enu003cliu003eStrong understanding of trade execution workflows, order management systems, settlement and reconciliation processes, and portfolio rebalancing mechanics.u003c/liu003enu003cliu003eExperience with custodial trading platforms (Schwab, Fidelity, Pershing, Apex, etc.) and advanced proficiency in Excel and data analysis.u003c/liu003enu003cliu003eDemonstrated ability to operate in high-volume trading environments with exceptional accuracy, a risk-aware mindset, and comfort with technology-driven workflows.u003c/liu003enu003c/ulu003enu003cpu003eu003cstrongu003eBonus
Compliance Officer, Trading Compliance Point72Compliance Officer, Trading ComplianceStamford, CTThe Point72 Compliance department is an industry-leading team of compliance professionals who support global investment and trading activities by establishing and enforcing the firm's compliance policies, providing real-time advice, and conducting pre- and post-trade surveillance. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things.
Talent Pool: Trading Systems Engineer FLOW TRADERSTalent Pool: Trading Systems EngineerNew York, NY$160,000–$215,000 / yearAll resumes, and any other information identifying potential candidates, submitted to any employee at Flow Traders via-email, the Internet or directly without a valid and signed search agreement will be deemed free to contact by Flow Traders without any restrictions and no placement fee of any kind will be paid in the event the candidate is hired by Flow Traders. Leverage automation and IaC to manage and optimize Linux and Kubernetes environments spanning bare‑metal, virtualized, and cloud‑native systems-streamlining workflows and reducing operational friction.
Python Developer with report trading experience Tata Consultancy Services LtdPython Developer with report trading experienceJersey City, NJ$100,000–$115,000 / yearCollaborate with cross-functional teams to deliver high-quality data and reporting solutions that support financial markets operations. Strong understanding of financial markets, trading operations, trade lifecycle, and market data concepts.
NewTrading Manager Archer Daniels Midland CoTrading ManagerNew York, NY$73,000–$110,250 / yearWe are committed to attracting and retaining a diverse workforce and create welcoming, truly inclusive work environments - environments that enable every ADM colleague to feel comfortable on the job, make meaningful contributions to our success, and grow their career. With industry-advancing innovations, a complete portfolio of ingredients and solutions to meet any taste, and a commitment to sustainability, we give customers an edge in solving the nutritional challenges of today and tomorrow.
2027 Portfolio Implementation, Trading and Portfolio Finance Summer Analyst AQR Capital Management LLC2027 Portfolio Implementation, Trading and Portfolio Finance Summer AnalystGreenwich, CTThis role offers the opportunity to work with senior investment professionals within the firm and exposes the candidate to all aspects of portfolio management, in particular: Portfolio Construction: optimize portfolios based on model views, market frictions, and investment guidelines. A successful Portfolio Implementation, Trading and Financing Summer Analyst will become intimately familiar with global financial markets, financial economics, asset management, quantitative investing and AQR's investment philosophy.
C++ Trading & Simulator Engineer (Usa) TrexquantC++ Trading & Simulator Engineer (Usa)Stamford, CTTo support our rapid growth, we are seeking a talented C++ Trading & Simulator Engineer to join our growing technology team and help build the next generation of trading systems and analytics platforms. Collaborate closely with quantitative researchers and traders to understand their needs and deliver technical solutions that enhance research productivity, backtesting accuracy, and trading performance.
Trading Operations Analyst/Associate AQR Capital Management LLCTrading Operations Analyst/AssociateGreenwich, CT$80,000–$95,000 / yearWorking closely with Trading, Portfolio Implementation, Technology, and Operations, the successful candidate will help ensure the accurate execution, booking, and lifecycle management of trades while partnering with external brokers, prime brokers, custodians, clearing brokers, and other market participants. The ideal candidate is intellectually curious, enjoys solving problems, and is interested in using data and technology to improve operational processes.
Trader Citigroup IncTraderNew York, NY$200,000–$250,000 / year2 years of experience must include: Market-making for credit derivative index and credit derivative index option including CDX; Credit derivative index trade negotiation and execution; Risk assessment using options greeks and scenario analysis, and pricing based on anticipated risk; Managing a book of risk, including optimizing its positioning and current and future exposures; Performing scenario and historical price analysis; Regression and statistical techniques and charting; Macroeconomic changes research and analysis including interest rate, foreign exchange, and federal monetary, fiscal and economic policies; Microeconomic research and analysis into company-level stimuli and trends; Using statistics to design and build analytical tools to be used for large data screening, dislocations monitoring, and causal inference drawing; and Direct interaction with corporate clients of a wide variety of sectors. Generate trade ideas, perform research and analysis using backtesting, single variable and multi-variable regression and studentized residual screening to find outliers and potential dislocations, both in single-name credit default swaps, index credit default swaps, and European-style credit default swaps, and also in pairs between those, and with respect to other asset classes on occasion.
Senior Trader, Public Credit Genworth FinancialSenior Trader, Public CreditStamford, ConnecticutYou will report to the Head of Credit Portfolio Management & Trading and partner closely with Credit Portfolio Managers, Credit Research, Portfolio Management, and other Traders to implement investment strategies that align with the portfolio’s strategic asset allocation, corporate credit strategy, risk appetite, and policyholder obligations. Preferred candidates should also understand how insurance company assets are invested to meet policyholder obligations and be able to support ongoing process improvement, automation, reporting, and analytical enhancements that strengthen the Trading function and broader Investments organization.
Experienced Trader Gelber GroupExperienced TraderWhite Plains, NY$72,000–$120,000 / yearThe actual offer, reflecting the total compensation package plus benefits, will be determined by a number of factors which include but are not limited to the applicant's experience, knowledge, skills, and abilities; geographic location; and internal equity. Headquartered in Chicago with offices across the United States and Europe, for more than 40 years, we have set the bar as one of the industry's most innovative and enduring proprietary trading firms.
Trader (Convertible Bonds) PEAK6Trader (Convertible Bonds)New York City, New York$100,000–$125,000 / yearYOUR EXPERIENCE: 2–5 years of experience trading or supporting a trading function in convertible bonds, equity derivatives, orvolatility products Strong grounding in options theory (Black-Scholes, Greeks, vol surfaces, skew/term structure dynamics) Solid fixed income math (yield curves, duration, credit spreads, YTW/YTM/YTC mechanics) Proficiency with Bloomberg (CBs, OMON, derivatives pricing functions) and other derivatives pricing/analytics platforms Demonstrated ability to think in terms of risk (Greeks) rather than just price Strong quantitative reasoning and comfort making decisions under uncertainty and time pressure Excel proficiency required; Python or other scripting ability a plus for automating analysis A competitive, self-directed mindset suited to a prop trading environment — you'll be given real risk and expected to earn more of it No specific degree required — but a track record and demonstrated market knowledge matter. You'll be Responsible for: Trade convertible bonds with an emphasis on the embedded optionality — managing gamma, vega, and volatility exposure across the book Identify and execute relative value opportunities between convertible bonds, their underlying equity, listed options, and credit Monitor and hedge delta, gamma, and vega exposures in real time; adjust hedges as underlying equity and implied vol shift Build and refine pricing/valuation views using derivatives pricing tools, challenging model outputs against market-observed levels Analyze issuer credit quality, capital structure, and fixed income terms (yield-to-worst, conversion premium, credit spread) as inputs to trade decisions Partner with senior traders on position sizing, risk limits, and book construction Stay current on primary issuance, calls/puts, corporate actions, and other events that affect convert valuations.
Senior Trader, Funding And Resource Management, Director Citigroup Inc.Senior Trader, Funding And Resource Management, DirectorNew York, NY$200,000–$300,000 / yearAppropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency. The Funding and Resource Management (FRM) team is responsible for the refinancing of all asset positions within the Equity business line, as well as the management of the main internal and external financial constraints (Capital, liquidity, balance sheet).
Wealth Management, Cash Equity Trader & Order Flow Manager, Vice President JPMorgan Chase Bank, N.A.Wealth Management, Cash Equity Trader & Order Flow Manager, Vice PresidentNew York, NYFull timeOur history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management. Morgan Private Bank is a global wealth management leader that delivers the highest quality advice, service, capabilities and products to high net worth individuals and families around the world.
NewIndex And Cross Asset ETF Volatility Trader, Director Citigroup Inc.Index And Cross Asset ETF Volatility Trader, DirectorNew York, NY$200,000–$300,000 / yearAppropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency. The overall objective of this role is to trade the U.S. ETF on the International ETF and Cross Asset ETF markets, ensure book trades deliver on budgeted revenues, and to coordinate with key stakeholders to develop the trading franchise.
NewTrading Systems Engineer (Kalshi Trading Llc) KalshiTrading Systems Engineer (Kalshi Trading Llc)New York, NY$200,000–$300,000 / yearKalshi is currently the fastest growing financial market in America, and has thousands of markets across politics, economics, financials, weather, tech, AI, culture and more. We are looking for ambitious and exceptional people to join our (relatively small) team to help us build the next generation of financial markets.
Fixed Income Division - Associate/Vice President, US Interest Rate Swaps Algo Trading Strategist (New York) Morgan StanleyFixed Income Division - Associate/Vice President, US Interest Rate Swaps Algo Trading Strategist (New York)New York, NY$225,000–$250,000 / yearOur values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren't just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries. The ideal candidate is a hands-on quant strategist who combines strong technical skills with a rigorous analytical approach and takes ownership from idea generation and design through implementation, testing, and ongoing improvement, with a focus on practical business impact.
Senior .NET Developer (Fixed Income Trading Technology) Michael Page InternationalSenior .NET Developer (Fixed Income Trading Technology)New York, NY$80–$95 / hourTemporaryCollaborate with global technology teams supporting electronic trading, booking, pricing, and reporting solutions across fixed income products. Knowledge of fixed income products, interest rate derivatives, trading workflows, and risk management processes.