Equity Derivatives Flow Trader: Liquidity & Automation

BBVA

Madrid

Presencial

EUR 90.000 - 140.000

Jornada completa

Hace 7 días
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Descripción de la vacante

BBVA is seeking an experienced Equity Derivatives Flow Trader to join its desk in Madrid, focusing on liquidity provision, risk management, and profitability across vanilla and light exotic equity derivatives. The role involves pricing client flows, hedging complex risk exposures, and leveraging technology to optimize trading capabilities.

The candidate should have 3+ years of front-office experience in equity derivatives, solid knowledge of options pricing and Greek risk, and strong Python/VBA

Formación

  • 3+ years of front-office experience in Equity Derivatives trading.
  • Strong knowledge of options pricing, volatility dynamics, and Greek risk management.
  • Proficiency in Python and VBA for quantitative models and automation.
  • Bachelor’s or Master’s degree in a quantitative field.
  • Excellent analytical and decision-making abilities in a high-pressure environment.

Responsabilidades

  • Actively provide liquidity and manage risk for vanilla and light exotic equity derivatives.
  • Provide competitive pricing to clients and collaborate with Sales to grow market share.
  • Develop, optimize, and automate internal tools with Python.
  • Monitor global markets to identify trading opportunities and optimize inventory.
  • Contribute to portfolio risk and profitability reporting.
  • Ensure adherence to risk limits and regulatory standards.

Conocimientos

Equity derivatives
Python
VBA
English fluency
Analytical thinking
Team collaboration
Spanish language

Educación

Bachelor’s or Master’s degree in Finance/Economics/Mathematics/Engineering/Physics

Herramientas

Python
VBA

Descripción del empleo

BBVA is seeking an experienced Equity Derivatives Flow Trader to join its desk in Madrid, focusing on liquidity provision, risk management, and profitability across vanilla and light exotic equity derivatives. The role involves pricing client flows, hedging complex risk exposures, and leveraging technology to optimize trading capabilities.

The candidate should have 3+ years of front-office experience in equity derivatives, solid knowledge of options pricing and Greek risk, and strong Python/VBA

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