Corporates Derivatives Trader, VP job opportunity at Barclays.



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Barclays Corporates Derivatives Trader, VP
Experience: 1-year
Pattern: full-time
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Salary:
Status:

Finance and Sales

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loacation New York, NY, United States Of America
loacation New York, NY....United States Of America

What will you be doing? Barclays Capital Inc. seeks Corporates Derivatives Trader, VP in New York, NY (multiple positions available): #Develop, structure, and #price customized equity derivative instruments such as call spreads, ASRs, and equity collars using complex option strategies and quantitative models. Collaborate with corporate issuers and investment banking teams to design tailored hedging strategies that align with market conditions and regulatory requirements. #Execute and #manage #equity-linked derivative #trades while optimizing risk and capital adjusted returns through dynamic hedging. #Analyze #market conditions in real time to enhance execution quality and identify arbitrage opportunities. Oversee large-scale share buybacks. Monitor and mitigate portfolio risks by managing exposures to delta, gamma, vega, skew, and rho. Implement risk frameworks tailored to corporate derivatives and conduct stress testing to assess potential market shocks. Ensure compliance with internal risk limits while optimizing performance. Enhance proprietary pricing models and risk tools to improve accuracy and efficiency in valuation. Leverage Python to develop algorithmic trading frameworks and streamline processes. Apply advanced mathematical techniques to solve pricing challenges. Partner with investment banking teams to develop and maintain corporate client relationships. Provide strategic guidance on derivative solutions that optimize capital structure and hedge market exposures. Collaborate with risk, legal, finance, middle office, and compliance teams to facilitate seamless execution of derivative transactions. Lead training initiatives for junior traders and bankers. Ensure all derivative transactions adhere to regulatory requirements, including documentation, reporting, and disclosures, in a rapidly evolving regulatory framework. Optimize balance sheet and capital usage through strategic derivative applications. Oversee daily PnL reporting and variance analysis to ensure accurate financial tracking. Maintain internal data systems to support trading activities and decision-making. Improve reporting and analytics tools in collaboration with technology teams.

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