Role Overview: Responsible for monitoring, analyzing, and executing trades in equity, derivatives, and other financial instruments. The role involves market research, data analysis, and portfolio management to maximize returns while managing risks. Key Responsibilities: Research and analyze financial markets, company performance, and economic trends. Execute buy/sell orders based on market analysis and client/institutional requirements. Monitor daily stock market movements and prepare reports on price fluctuations. Develop and implement trading or investment strategies. Manage portfolios and recommend asset allocation based on risk appetite. Stay updated with financial news, government policies, and global market events. Ensure compliance with trading regulations and company policies. Communicate insights, forecasts, and investment opportunities to clients or stakeholders. Skills Required: Strong analytical and numerical skills. Knowledge of stock markets, financial instruments, and trading platforms. Proficiency in technical and fundamental analysis. Risk management and decision-making ability under pressure. Good communication and reporting skills. Education & Background: Bachelor’s degree in Finance, Economics, Business, or related field. Certifications like CFA, FRM, or NISM (preferred for certain roles). Prior experience in trading, investment analysis, or financial services