Manage and grow a gasoline and naphtha derivatives trading book.
Identify and capture regional and cross-barrel trading opportunities (gasoline, naphtha, diesel, crude) across U.S., EU and Asian markets.
Formulate and execute high-conviction trading ideas based on fundamental, structural and macroeconomic drivers.
Leverage quantitative tools and proprietary analytics to monitor balances, spreads, and market structures, supporting trade generation and portfolio risk management.
Continuously monitor market structure, volatility and liquidity to optimize entry, exit and hedging strategies.
Ensure exposures, P&L, and VaR remain aligned with firm limits and risk appetite.
Provide insights and communicate trade recommendations and market views to Management and fellow traders.
Requirements
At least 3-4 years of experience trading light ends, preferably gasoline and naphtha.
Demonstrated success in profitably managing a derivatives book.
Strong understanding of market structure and cross-commodity correlations.
Strong grasp of macro and micro fundamentals affecting global refined product markets.
Excellent analytical, communication, and collaborative skills with a disciplined, risk-aware mindset.
* Proficiency in quantitative tools will be an added advantage.
Beware of fraud agents! do not pay money to get a job
MNCJobz.com will not be responsible for any payment made to a third-party. All Terms of Use are applicable.