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Macro Analyst

$200k

Optiver

Optiver’s Index Options Market Making team is looking for an Equity Index Macro Analyst to provide research and trade recommendations on macro events and their impact on equity index markets. Ideal candidates will have a self‑starter and competitive mentality and are excited by the opportunity to bring their knowledge and skills to a growing team. A thoughtful and proactive approach to risk‑taking is essential to succeed in this role. You will play a critical role on our team and have the opportunity to make a material impact to the firm’s PnL. You will sit directly on the trading desk, where you will be able to influence trading decisions and positions on a daily basis. What you’ll do Leverage macro events, structural flows, and market positioning to provide research and trade recommendations for equity index products. Work closely with Traders and Analysts to creatively solve problems and identify new trading opportunities. Analyze and generate a theoretical value for each major macro event and its impact on equity indices. Generate trade ideas based on this theoretical value and market positioning. Monitor and analyze structural flows and positioning in equity index markets and their impact on prices. Collaborate intra‑firm with other macro analysts to develop event theos. Monitor and analyze the evolution of real‑time events and their impact on equity index products. Interface with connections through industry to better understand the macro picture and equity market structure. What you’ll get The opportunity to work alongside best‑in‑class professionals from over 40 different countries. Highly competitive compensation package. Global profit‑sharing pool and performance‑based bonus structure. 401(k) match up to 50%. Comprehensive health, mental, dental, vision, disability, and life coverage. 25 paid vacation days alongside market holidays. Extensive office perks, including breakfast, lunch and snacks, regular social events, clubs, sporting leagues and more. Who you are Minimum of Bachelor’s degree. At least 5 years of experience analyzing macro events and their impact on equity index markets (SPX, NDX, and related products). An understanding of how events and changes in Fiscal and Monetary Policy impact equity indices and market volatility. Knowledge of structural flows and positioning dynamics in equity index markets and how they influence price action. A thorough understanding of the broader macro landscape and its transmission mechanisms to equity markets. Fluency in English with highly effective verbal and written communication skills. Experience in identifying emerging opportunities and risks. Familiarity with various research/database platforms (Bloomberg, Reuters, etc). Legal authorization to work in the U.S. is required; we will not sponsor individuals for employment authorization for this job opening. Who we are At Optiver, our mission is to improve the market by injecting liquidity, providing accurate pricing, increasing transparency and stabilizing the market no matter the conditions. With a focus on continuous improvement, we prioritize safeguarding the health and efficiency of the markets for all participants. As one of the largest market making institutions, we are a respected partner on 100+ exchanges across the globe. We do not discriminate on the basis of race, religion, color, sex, gender identity, sexual orientation, age, physical or mental disability, or other legally protected characteristics. Base Salary Range

$200,000—$200,000 USD

#J-18808-Ljbffr Optiver

Vacancy posted 2 days ago
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