Portfolio Finance Trader SBL Specialist
Jump Trading is a global trading firm where traders, engineers, and researchers develop trading strategies, models, infrastructure, and systems across asset classes and time horizons.
About Jump Trading
Jump Trading is a global trading firm focused on research-driven trading and the engineering of scalable models, tools, infrastructure, and execution systems. Its operations combine trading, technology, AI/ML, and quantitative research, and it also runs research and talent programs including conference travel grants and a fellowship program.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will support APAC inventory management, manage the firm's stock borrowing process, monitor borrow markets, identify trading opportunities, secure hard-to-borrow names, enhance desk models and workflows, and partner with risk, clearing, and trading functions.
Requirements
- Bachelor's degree in STEM, Accounting, Finance, Computer Science, or a related field
- 3–5 years of experience in buy-side or sell-side Portfolio Finance, SBL Trading, Repo, or Strats roles covering major APAC markets
- Python or other programming languages
- Ability to multitask, prioritize, and manage competing deadlines
- Strong interpersonal skills
Responsibilities
- Support APAC inventory management tasks
- Handle the full life cycle of the firm's stock borrowing process
- Follow borrow markets and identify trading opportunities
- Secure hard-to-borrow and event names
- Develop and enhance desk models, tools, and operational workflows
- Partner with Risk, Clearing, and trading teams to support daily trading activities
- Identify and develop new procedures, countries of coverage, and process automation
- Provide regional assistance for APAC portfolio finance requests and projects
