Opportunity Description
Responsibilities
- Support daily trade execution booking confirmations and settlement across physical and derivative legs
- Build, maintain and extend pricing, P/L attribution and risk models (spot, forward, EFP, lease‑rate options)
- Monitor basis, contango, backwardation, free‑metal economics payables‑rate exposure and refinery dwell time
- Track positions and exposures across loco, London, Dubai, COMEX and OTC counterparties and flag breaches and hedging gaps
- Design and back‑test synthetic trading ideas such as cash‑and‑carry, lease arbitrage, option overlays and relative‑value pairs
- Prepare MIS scenario analysis and management decks
- Coordinate with banks, refiners, logistics and compliance counterparties
- Contribute to trade‑finance structuring, KYC/AML workflows and LBMA‑related due diligence
- 2–3 years of experience in commodities trading, sales & trading, derivatives stru...
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