This is a high-impact role focused on developing and executing derivatives strategies across Rates and Commodities with a clear mandate to enhance the trading & structuring capability of the desk.
Key Responsibilities :
- Trading and pricing of derivatives, particularly Swaps and structured products.
- Taking full ownership of P&L : pricing risk, expressing market views, and managing positions.
- Supporting product structuring, modelling, and delivery of bespoke hedging solutions.
- Collaborating with internal risk, legal, and treasury stakeholders to ensure efficient and compliant execution.
- Working with commodity-linked instruments (especially oil and precious metals).
Ideal Candidate Profile :
Currently trading derivatives – pricing and execution experience is essential.Must have hands-on Swaps trading experience ; Rates-only profiles may be considered if technically strong.Solid academic foundation in quantitative disciplines (mathematics, engineering, physics, finance) – CFA, or similar qualifications are highly valued.Proficiency in risk modelling and pricing tools such as Murex, Calypso, Python, or VBA.Shariah-compliant or Islamic structured product experience is beneficial, but not essential.Additional Details :
Candidates must be able to join within 1–2 months.Preference for those already based in the UAE or wider GCC, though strong external profiles (Malaysia, UK, Europe) may be considered if relocation is viable within timeframes above.The desk operates lean and fast – this is a plug-and-play role for someone who enjoys technical ownership and strategic influence.This is a rare opportunity to join a growing desk in a strategic, high-visibility role where you’ll shape real trading outcomes. Ideal for someone who thrives on autonomy, technical complexity, and multi-asset exposure in a forward-leaning environment.