Responsibilities:
• Market Analysis: Continuously monitor financial markets, including stock prices, market trends, economic data, and financial news to make informed trading decisions.
• Trading: Execute buy and sell orders for stocks, bonds, options, and other financial instruments on behalf of clients or the firm.
• Portfolio Management: Manage and optimize portfolios, balancing risk and reward to achieve financial goals.
• Risk Management: Implement strategies to minimize risk, including stop-loss orders, diversification, and hedging techniques.
• Client Interaction: Communicate with clients to understand their financial goals, provide market insights, and recommend trading strategies.
• Reporting: Prepare and present regular reports on trading activities, market trends, and portfolio performance to clients or management.
• Compliance: Ensure all trading activities comply with relevant regulations, internal policies, and ethical standards.
• Technology Utilization: Use advanced trading platforms, software, and tools for market analysis, order execution, and data management.
• Continuous Learning: Stay updated on market developments, new financial products, and regulatory changes.
Qualifications:
• Education: Bachelor's degree in Finance, Economics, Business, or a related field. A master's degree or MBA may be preferred.
• Licenses: Relevant certifications such as Series 7, Series 63, or Chartered Financial Analyst (CFA) designation.
• Experience: Proven experience as a stock trader or in a related financial role. Experience with specific trading platforms and financial software is often required.
Skills:
• Analytical Skills: Ability to analyze complex financial data, market trends, and economic indicators.
• Attention to Detail: Meticulous attention to detail to avoid errors in trading decisions and order execution.
• Decision-Making: Strong decision-making skills, especially under pressure in fast-paced market environments.
• Communication: Excellent verbal and written communication skills to interact effectively with clients and colleagues.
• Mathematical Proficiency: Strong mathematical skills for analyzing financial data and calculating risks and returns.
• Technical Skills: Proficiency in using trading platforms, financial modeling software, and data analysis tools.
• Stress Management: Ability to maintain composure and make rational decisions in volatile market conditions.
• Ethical Judgment: Strong sense of ethics and adherence to regulatory standards.
Job Types: Full-time, Permanent, Fresher
Pay: ?12,000.00 - ?25,000.00 per month
Jadwal:
• Day shift
Upah Tambahan:
• Performance bonus
Experience:
• total work: 1 year (Preferred)
Work Location: In person
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