
Index Options Trader
About G-20
G-20 Group is a cross-asset trading firm headquartered in Switzerland, trading delta-one and derivatives markets globally. We combine startup agility with institutional-grade experience in proprietary trading, technology, and quantitative finance.
Role Overview
As an Index Options Trader at G-20, you will be responsible for managing and optimizing a discretionary index options portfolio. You will collaborate with a team of traders, quantitative researchers, and developers to enhance pricing models, refine trading strategies, and drive superior risk-adjusted returns. This role offers a unique opportunity to contribute to G-20's continued expansion within a fast-paced and dynamic trading environment.
Key Responsibilities
- Develop, implement, and refine index options trading strategies across major benchmark indices (e.g. S&P 500, Nasdaq 100, Russell 2000, or relevant regional indices).
- Analyze market microstructure, order flow, and volatility dynamics (including skew, term structure, and implied vs. realized volatility) to identify and capitalize on trading opportunities.
- Collaborate with quantitative analysts and developers to improve options pricing models, hedging algorithms, and execution tools.
- Maintain strong awareness of macroeconomic events, central bank policy, and geopolitical developments that influence index levels and volatility markets.
- Execute trades with precision across listed index options and related futures, ensuring best execution and liquidity management.
- Manage portfolio Greeks (delta, gamma, vega, theta) and adjust hedges dynamically in response to changing market conditions, including around key macro events and expiries.
- Contribute to the continuous enhancement of G-20's trading infrastructure, data pipelines, and analytical frameworks.
- Monitor portfolio performance and risk metrics, providing regular feedback on strategy effectiveness and market impact.
- Degree in Finance, Mathematics, Physics, Computer Science, Engineering, or a related field from a top-tier university.
- Strong background in options trading with a solid understanding of options pricing theory, volatility trading, and relevant strategies. Experience in high volatility asset classes and leveraged trading is essential.
- Proven track record of generating consistent profits (PnL >$2m annually for more than 3 years, increasing with experience).
- Experience with quantitative trading and the ability to apply data analysis to trading decisions.
- Exceptional analytical and problem-solving abilities, capable of making quick, data-driven decisions.
- Excellent communication and collaboration skills, with the ability to collaborate effectively across teams.
- Demonstration of a results-driven, proactive, and self-motivated approach.
Preferred / Desirable Experience
- Experience in a proprietary trading, market-making, or hedge fund environment.
- Familiarity with automation and algorithmic execution strategies for options.
- Proficiency with trading and analytical tools (e.g. Python, Excel/VBA, SQL).
Right to work: This role can be based out of our Zurich, London, New York or Hong Kong office. Only candidates who possess the pre-existing right to work in one of the locations above without company sponsorship need apply.
Join G-20 Group and be a part of a team that is at the forefront of financial markets, driving innovation and excellence in the sector.
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