¿Te entusiasma hacer crecer tu carrera? BBVA es una compañía general con más de 160 años de historia que opera en más de 25 países donde damos servicio a más de 80 millones de clientes. Somos más de 121.000 profesionales trabajando en equipos multidisciplinares con perfiles tan diversos como financieros, expertos legales, científicos de datos, desarrolladores, ingenieros y diseñadores.
Conoce más sobre el área: The Equity Derivatives Trading Desk at BBVA acts as a liquidity provider for institutional and corporate clients across global equity markets, offering competitive pricing and tailored risk management solutions.
Sobre el puesto About the Role: We are seeking an experienced Equity Derivatives Flow Trader to join our desk as a key liquidity provider. In this role, you will manage risk and drive profitability across a diverse portfolio of equity derivatives, focusing primarily on vanilla options and light exotics. You will play a pivotal role in pricing client flows, dynamically hedging complex risk exposures, and leveraging technology to optimize our trading capabilities.
Key Responsibilities:
- Actively provide liquidity and manage risk for a portfolio of vanilla and light exotic equity derivatives.
- Provide competitive and timely pricing to institutional and corporate clients, working closely with the Sales team to capture market share and drive franchise revenue.
- Advanced knowledge in Python to develop, optimize, and automate internal tools.
- Monitor global equity markets to identify trading opportunities, optimize inventory, and generate actionable market color for internal teams and clients.
- Contribute to the continuous improvement of portfolio risk and profitability reporting.
- Ensure strict adherence to risk limits, internal trading policies, and regulatory standards.
What Are We Looking For? Qualifications:
- Experience: 3+ years of front-office experience in Equity Derivatives Trading.
- Technical Knowledge: Deep understanding of options pricing, volatility dynamics, and Greek risk management across equity markets.
- Programming: Advanced knowledge in VBA, Python applied to quantitative model development, financial data analysis, and task automation.
- Education: Bachelor’s or Master’s degree in a quantitative discipline (Finance, Economics, Mathematics, Engineering, Physics, or similar).
- Core Skills: Exceptional analytical capabilities, keen attention to detail, and the ability to make rapid, data-driven decisions in a high-pressure environment.
- Culture: Strong communication skills and a collaborative, team-oriented mindset.
- Languages: Professional fluency in English is required; Spanish is a strong plus.
Habilidades: Derivados financieros, Python para análisis de datos
📌 Equity Derivatives Flow Trader (Madrid)
🏢 Bbva
📍 Madrid