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Options Risk Manager
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- Our approach centers around creating innovative technical solutions that perfectly match our trading strategies, giving us the edge to seize these prospects.
- These concepts permeate all facets of our business, and we are seeking a like-minded Options Risk Manager
- Identify, measure, and analyze risks associated with options trading activities, including market risk, credit risk, liquidity risk, and operational risk.
- Continuously monitor trading positions and risk exposures, and prepare regular reports to management highlighting key risk metrics, trends, and potential areas of concern.
- Develop and implement risk mitigation strategies to hedge or reduce exposure to various types of risk, such as delta hedging, gamma scalping, or employing volatility strategies.
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