Derivix Fintech Solutions Pvt Ltd

2 Job openings at Derivix Fintech Solutions Pvt Ltd
Derivatives Trader noida sector 62, noida, uttar pradesh 0 years None Not disclosed On-site Full Time

If you are self-motivated exceptional Trader with a strong foundation in quantitative trading then join our Quant Trading desk. This role is ideal for someone who can leverage data, technology, and statistical methods to identify and execute high-probability opportunities across markets. As part of our high-performing team, you will be empowered to innovate, take ownership of your trading strategies, and benefit from a performance-driven environment backed by cutting-edge infrastructure and capital support. This is full-time position based in Noida. Key Responsibilities Design, develop, and manage quantitative strategies across asset classes. Leverage market inefficiencies and pricing anomalies through automated and semi-automated strategies. Continuously enhance strategy performance using statistical analysis, back-testing, and real-time monitoring. Risk management, including position sizing, exposure monitoring, and performance attribution. Stay updated with market structure changes, regulatory developments, and technological shifts impacting trading efficiency. Skills & Requirements You have been learning about Quant Trading and have built a mindset and strategies on which you want to focus. You do not require supervision to motivate you to research and build new trading strategies. You may have track record in quantitative trading at a proprietary desk, hedge fund, or HFT setup. Strong understanding of quantitative models, market micro-structure, and statistical methods. Ability to process large datasets, draw actionable insights, and build logic-driven trading frameworks. Solid grasp of risk control methodologies and real-time risk monitoring. Ability to make rational and fast decisions in high-stakes market environments. Consistent composure during volatile market conditions. Eagerness to learn, iterate, and evolve strategies in line with market dynamics. Familiarity with trading platforms, APIs, market data systems, and low-latency environments. Comfort working in cross-functional teams with developers, researchers, and risk professionals. Bachelor’s or Master’s degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, or related field. Job Type: Full-time Pay: ₹25,000.00 - ₹150,000.00 per month Benefits: Paid time off Work Location: In person

Derivatives Trader india 0 years INR Not disclosed On-site Full Time

If you are self-motivated exceptional Trader with a strong foundation in quantitative trading then join our Quant Trading desk. This role is ideal for someone who can leverage data, technology, and statistical methods to identify and execute high-probability opportunities across markets. As part of our high-performing team, you will be empowered to innovate, take ownership of your trading strategies, and benefit from a performance-driven environment backed by cutting-edge infrastructure and capital support. This is full-time position based in Noida. Key Responsibilities Design, develop, and manage quantitative strategies across asset classes. Leverage market inefficiencies and pricing anomalies through automated and semi-automated strategies. Continuously enhance strategy performance using statistical analysis, back-testing, and real-time monitoring. Risk management, including position sizing, exposure monitoring, and performance attribution. Stay updated with market structure changes, regulatory developments, and technological shifts impacting trading efficiency. Skills & Requirements You have been learning about Quant Trading and have built a mindset and strategies on which you want to focus. You do not require supervision to motivate you to research and build new trading strategies. You may have track record in quantitative trading at a proprietary desk, hedge fund, or HFT setup. Strong understanding of quantitative models, market micro-structure, and statistical methods. Ability to process large datasets, draw actionable insights, and build logic-driven trading frameworks. Solid grasp of risk control methodologies and real-time risk monitoring. Ability to make rational and fast decisions in high-stakes market environments. Consistent composure during volatile market conditions. Eagerness to learn, iterate, and evolve strategies in line with market dynamics. Familiarity with trading platforms, APIs, market data systems, and low-latency environments. Comfort working in cross-functional teams with developers, researchers, and risk professionals. Bachelor’s or Master’s degree in Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, or related field. Job Type: Full-time Pay: ₹25,000.00 - ₹150,000.00 per month Benefits: Paid time off Work Location: In person