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2-4 Years
Not Disclosed
Early Applicant
  • Posted 2 months ago
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Job Description

About Graviton: Graviton Research Capital is one of the largest quantitative trading firms emerging out of APAC, with a strong footprint across 40+ global exchanges and a rapidly growing presence across Europe and the USA. We're privately funded, long-term focused, and deeply invested in building high-performance teams that operate at scale in some of the most competitive markets globally.

We are seeking a Finance Analyst responsible for managing and improving the process of calculating financial metrics for strategies trading in various segments and markets. The primary focus will be understanding P&L, cost, Margin calculations, resolving breaks in trades and positions, and ensuring accurate P&L calculations for the trading strategies.

Responsibilities:

  • Prepare quarterly P&L statements for trading strategies and weekly funds statements.
  • Analyse and resolve the breaks in positions and other financial attributes communicated by the automated reconciliation processes or support staff.
  • Work with brokers to understand the various trading cost calculations and allocate costs appropriately between trading strategies.
  • Gain a deep understanding of the P&L, cost, and margin calculations of various segments and markets.
  • Gain a basic understanding of the technical services used for trading like colocation, market data, executors etc.
  • Take ownership of the reconciliation process, ensuring timely and accurate completion.
  • Understand Risk Margin calculations for various segments and markets

Qualifications and Skills:

  • Chartered Accountant (CA) and/or CFA Level 2
  • 2 years of work experience
  • Strong logical and analytical skills to understand the complex calculations
  • Proficiency in Microsoft Excel for data analysis and resolving breaks.
  • Knowledge of Python and Linux is a plus.
  • Strong analytical and problem-solving skills, with excellent attention to detail and the ability to perform effectively under pressure.
  • Knowledge of financial markets and trading strategies is an added advantage.

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