Barclays
Corporates Derivatives Trader, VP – Barclays
Location: New York, NY
Role Overview Barclays Capital Inc. seeks a Corporates Derivatives Trader, VP to develop, structure, and price customized equity derivative instruments and execute equity‑linked derivative trades while optimizing risk and capital adjusted returns in a dynamic market environment. The role requires collaboration across investment banking, risk, legal, and compliance teams to deliver tailored hedging solutions that adhere to regulatory requirements.
Responsibilities
Develop, structure, and price customized equity derivative instruments such as call spreads, ASRs, and equity collars using complex option strategies and quantitative models.
Execute and manage equity‑linked derivative trades, optimize risk and capital adjusted returns through dynamic hedging, analyze market conditions in real‑time, and identify arbitrage opportunities.
Monitor and mitigate portfolio risks by managing exposures to delta, gamma, vega, skew, and rho; implement risk frameworks and conduct stress testing.
Enhance proprietary pricing models and risk tools; leverage Python to develop algorithmic trading frameworks and streamline processes.
Partner with investment banking teams to develop and maintain corporate client relationships and provide strategic guidance on derivative solutions.
Collaborate with risk, legal, finance, middle office, and compliance teams to facilitate seamless execution; lead training initiatives for junior traders.
Ensure all derivative transactions comply with regulatory requirements, documentation, reporting, and disclosures.
Oversee daily PnL reporting and variance analysis; maintain internal data systems and improve reporting and analytics tools in collaboration with technology teams.
Accountabilities
Develop and implement trading strategies that align with the bank’s risk appetite and market conditions.
Execute trades on behalf of the bank or proprietary trading desks while adhering to risk parameters.
Maintain accurate and timely trading records, prepare daily and monthly trading reports, and contribute to the evaluation of overall trading strategy.
Monitor and analyze global financial markets, economic indicators, news, and geopolitical events.
Manage and monitor the risk associated with the trading portfolio, including setting and maintaining stop‑loss limits and ensuring compliance with regulatory and internal guidelines.
Raise unsecured funding in the International Money Market.
Execute structural hedges for hedging IRRBB.
Vice President Expectations
Contribute to strategy, drive requirements, and recommend change; plan resources, budgets, and policies.
Define jobs and responsibilities, plan for department future needs, counsel employees on performance, and set pay decisions.
Demonstrate leadership behaviours to create an environment for colleagues to thrive; four LEAD behaviours: Listen, Energise, Align, Develop.
Act as a subject‑matter expert, guide technical direction, lead assignments, and coach less experienced specialists.
Advise key stakeholders on cross‑functional areas of impact and alignment.
Manage and mitigate risks through assessment in support of the control and governance agenda.
Show accountability for managing risk and strengthening controls relative to team work.
Demonstrate comprehensive understanding of organization functions to achieve business goals.
Collaborate with other areas of work to keep pace with business activity and strategies.
Create solutions based on sophisticated analytical thought, comparing and selecting complex alternatives.
Adopt research outcomes in problem‑solving processes.
Build and maintain trusting relationships and partnerships with internal and external stakeholders to accomplish key business objectives.
Salary Base salary: $179,088 – $196,997 per year. This figure includes only base salary and does not include additional compensation or benefits that may be available. The position is eligible for incentives pursuant to the Barclays Employee Referral Program.
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function Finance and Sales
Industries Banking and Financial Services
Company Values All colleagues are expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence, and Stewardship, and the Barclays Mindset of Empower, Challenge, and Drive.
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Role Overview Barclays Capital Inc. seeks a Corporates Derivatives Trader, VP to develop, structure, and price customized equity derivative instruments and execute equity‑linked derivative trades while optimizing risk and capital adjusted returns in a dynamic market environment. The role requires collaboration across investment banking, risk, legal, and compliance teams to deliver tailored hedging solutions that adhere to regulatory requirements.
Responsibilities
Develop, structure, and price customized equity derivative instruments such as call spreads, ASRs, and equity collars using complex option strategies and quantitative models.
Execute and manage equity‑linked derivative trades, optimize risk and capital adjusted returns through dynamic hedging, analyze market conditions in real‑time, and identify arbitrage opportunities.
Monitor and mitigate portfolio risks by managing exposures to delta, gamma, vega, skew, and rho; implement risk frameworks and conduct stress testing.
Enhance proprietary pricing models and risk tools; leverage Python to develop algorithmic trading frameworks and streamline processes.
Partner with investment banking teams to develop and maintain corporate client relationships and provide strategic guidance on derivative solutions.
Collaborate with risk, legal, finance, middle office, and compliance teams to facilitate seamless execution; lead training initiatives for junior traders.
Ensure all derivative transactions comply with regulatory requirements, documentation, reporting, and disclosures.
Oversee daily PnL reporting and variance analysis; maintain internal data systems and improve reporting and analytics tools in collaboration with technology teams.
Accountabilities
Develop and implement trading strategies that align with the bank’s risk appetite and market conditions.
Execute trades on behalf of the bank or proprietary trading desks while adhering to risk parameters.
Maintain accurate and timely trading records, prepare daily and monthly trading reports, and contribute to the evaluation of overall trading strategy.
Monitor and analyze global financial markets, economic indicators, news, and geopolitical events.
Manage and monitor the risk associated with the trading portfolio, including setting and maintaining stop‑loss limits and ensuring compliance with regulatory and internal guidelines.
Raise unsecured funding in the International Money Market.
Execute structural hedges for hedging IRRBB.
Vice President Expectations
Contribute to strategy, drive requirements, and recommend change; plan resources, budgets, and policies.
Define jobs and responsibilities, plan for department future needs, counsel employees on performance, and set pay decisions.
Demonstrate leadership behaviours to create an environment for colleagues to thrive; four LEAD behaviours: Listen, Energise, Align, Develop.
Act as a subject‑matter expert, guide technical direction, lead assignments, and coach less experienced specialists.
Advise key stakeholders on cross‑functional areas of impact and alignment.
Manage and mitigate risks through assessment in support of the control and governance agenda.
Show accountability for managing risk and strengthening controls relative to team work.
Demonstrate comprehensive understanding of organization functions to achieve business goals.
Collaborate with other areas of work to keep pace with business activity and strategies.
Create solutions based on sophisticated analytical thought, comparing and selecting complex alternatives.
Adopt research outcomes in problem‑solving processes.
Build and maintain trusting relationships and partnerships with internal and external stakeholders to accomplish key business objectives.
Salary Base salary: $179,088 – $196,997 per year. This figure includes only base salary and does not include additional compensation or benefits that may be available. The position is eligible for incentives pursuant to the Barclays Employee Referral Program.
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function Finance and Sales
Industries Banking and Financial Services
Company Values All colleagues are expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence, and Stewardship, and the Barclays Mindset of Empower, Challenge, and Drive.
#J-18808-Ljbffr