Apply option theory to trading in the markets and manage a portfolio for PEAK6 Capital Management
Requirements
- Series 57 license required
- Bachelor’s or foreign degree equivalent in Finance, Mathematics, Business, Business Administration, Computer Science or related field
- 2 years of experience in the job offered or in a finance role
- 3-year diploma/degree or 3 years of coursework in Finance, Mathematics, Business, Business Administration, Computer Science or related field and 2 years of experience in the job offered or in a finance role
Responsibilities
- Apply option theory to trading in the markets
- Master the use of all of PEAK6’s proprietary tools and technology
- Manage a portfolio, make trading decisions, and be responsible for portfolio
- Test and analyze trading strategies in the market
- Develop Portfolio Management, Risk Management, technical and research skills
- Utilize new cutting-edge tools
- Deep dive into analytical and research-based data sets
Other
- Bachelor’s or foreign degree equivalent in Finance, Mathematics, Business, Business Administration, Computer Science or related field
- 2 years of experience in the job offered or in a finance role
- Hybrid role - Occasional telecommuting permitted in Chicago area
- Develop ownership, collaboration, and interpersonal skills
- Give/receive feedback to senior traders