This is a hands-on trading role with direct involvement in system design, close collaboration with engineers, and real PnL accountability. The environment suits traders who enjoy building, iterating, and owning trading systems, not execution-only roles.
Key Responsibilities
- Design and operate market-making and liquidity-provision strategies across Gold and U.S. equities-linked derivatives
- Develop fair-value and pricing models incorporating order-book dynamics, volatility, macro drivers, and cross-asset relationships
- Manage inventory, exposure limits, hedging, and PnL attribution across multiple venues
- Work closely with engineering teams on quoting engines, execution logic, and risk controls
- Analyse exchange-specific microstructure, funding mechanics, and liquidity behaviour
- Continuously refine pricing, skew, and inventory management logic in a 24/7 trading environment
- Contribute to strategy planning, system enhancements, and new market rollouts
Requirements
- 8+ years of experience in market making or risk-taking trading (prop shop, market maker, hedge fund, or digital trading firm)
- Multi-asset exposure required — experience across Gold / metals, equities or equity derivatives, and cross-asset hedging
- Strong understanding of market microstructure, liquidity dynamics, and volatility
- Proven risk ownership (not execution-only)
- Comfortable working in systematic or semi-systematic trading environments
- Strong analytical skills; Python required, C++ or low-latency experience a strong advantage
- Experience working alongside engineers on trading systems and strategy implementation
Reg. No. R22104718
BeathChapman Pte Ltd
Licence no. 16S8112





