825 Derivatives Trading jobs in Indonesia

Quantitative Analyst (Quant), Derivatives Trading

15157 Tangerang, Banten IDR30000000 Monthly WhatJobs

Posted 8 days ago

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full-time
Our client, a premier investment bank renowned for its sophisticated trading strategies, is searching for a highly skilled Quantitative Analyst (Quant) to join their derivatives trading team. This is a fully remote position, offering the opportunity to work on challenging quantitative problems from anywhere. You will be responsible for developing, implementing, and maintaining complex mathematical models for pricing, risk management, and algorithmic trading of financial derivatives. The ideal candidate possesses a strong background in quantitative finance, advanced statistical modeling, programming, and a deep understanding of financial markets and derivative instruments. Key responsibilities include designing and backtesting trading algorithms, conducting in-depth market research, and collaborating closely with traders and developers to deploy quantitative strategies. You will perform rigorous statistical analysis, identify trading opportunities, and develop tools to optimize trading execution and risk control. Proficiency in programming languages such as Python, C++, or R, along with experience with financial data analysis libraries and databases, is essential. A Master's or Ph.D. in a quantitative field (e.g., Mathematics, Physics, Statistics, Computer Science, Financial Engineering) is highly preferred. This role requires exceptional problem-solving skills, a keen intellect, and the ability to work effectively in a fast-paced, results-oriented trading environment. Join our client's elite remote team and contribute to cutting-edge quantitative finance, impacting trading decisions for their global operations, supporting business units that may include activities related to **Tangerang, Banten, ID**.
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Senior Quantitative Analyst (Quant) - Derivatives Trading

76114 Balikpapan, East Kalimantan IDR25000000 Annually WhatJobs

Posted 2 days ago

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full-time
Our client, a leading financial institution, is seeking a highly skilled Senior Quantitative Analyst (Quant) specializing in derivatives trading to join their innovative trading desk in Balikpapan, East Kalimantan, ID . This role demands exceptional analytical, mathematical, and programming skills to develop and implement sophisticated trading strategies, pricing models, and risk management systems for complex financial instruments. You will work closely with traders and portfolio managers to identify market opportunities, optimize trading execution, and manage portfolio risk. The ideal candidate possesses a deep understanding of financial markets, advanced statistical modeling techniques, and proficiency in programming languages commonly used in quantitative finance. This is a challenging and rewarding opportunity for a motivated individual looking to make a significant impact in a fast-paced trading environment.

Responsibilities:
  • Develop, backtest, and deploy quantitative trading strategies for derivatives markets.
  • Create and maintain pricing models for various financial derivatives, ensuring accuracy and robustness.
  • Implement and refine risk management systems to monitor and control portfolio exposures.
  • Analyze large datasets to identify market patterns, inefficiencies, and trading opportunities.
  • Collaborate with traders to understand market dynamics and refine trading strategies.
  • Write high-quality, production-ready code in languages such as Python, C++, or R.
  • Conduct research on new quantitative techniques and market microstructure.
  • Develop and maintain statistical and econometric models for forecasting and risk analysis.
  • Work with IT teams to integrate quantitative models into trading platforms and systems.
  • Document methodologies, models, and code thoroughly.
  • Stay current with financial market trends, regulatory changes, and academic research in quantitative finance.
  • Assist in the development and training of junior quantitative analysts.
  • Perform ad-hoc analysis and quantitative research as required.
  • Ensure compliance with all relevant financial regulations and internal policies.

Qualifications:
  • Master's or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 5 years of experience in a quantitative role within investment banking, hedge funds, or asset management, with a focus on derivatives.
  • Strong understanding of financial derivatives (options, futures, swaps) and their pricing.
  • Advanced knowledge of statistical modeling, time series analysis, and econometrics.
  • Proficiency in programming languages like Python (NumPy, Pandas, Scikit-learn), C++, or R.
  • Experience with financial data analysis tools and databases.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication and presentation skills, with the ability to explain complex concepts clearly.
  • Ability to work effectively under pressure in a fast-paced trading environment.
  • Experience with high-frequency trading or algorithmic trading is a plus.
  • Knowledge of machine learning techniques applied to finance is desirable.
This is a premier opportunity for a seasoned quant to drive trading success for our client in Balikpapan, East Kalimantan, ID .
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Graduate Analyst - Financial Markets

75111 Balikpapan, East Kalimantan IDR6 Monthly WhatJobs

Posted 7 days ago

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intern
Our client is offering an exciting Graduate Analyst opportunity within their financial markets division, based in Balikpapan, East Kalimantan, ID . This internship is designed for high-achieving recent graduates eager to launch their careers in the dynamic world of finance. You will gain hands-on experience in market analysis, data interpretation, and financial modeling, working alongside experienced professionals. This role involves supporting trading desks, research teams, and portfolio managers with critical data and insights. The ideal candidate is highly analytical, detail-oriented, and possesses a strong academic background in a quantitative field.

Key responsibilities will include:
  • Assisting senior analysts in researching and analyzing financial markets, economic trends, and investment opportunities.
  • Gathering, cleaning, and interpreting large datasets related to financial instruments, economic indicators, and company performance.
  • Developing and maintaining financial models for valuation, forecasting, and scenario analysis.
  • Preparing market commentary, research reports, and presentations for internal stakeholders.
  • Supporting the trading desk with real-time market data and trade execution support.
  • Monitoring portfolio performance and conducting attribution analysis.
  • Collaborating with various teams across the organization to gather information and provide analytical support.
  • Ensuring the accuracy and integrity of all data and analyses performed.
  • Participating in team meetings and contributing to discussions on market strategy.
  • Learning and applying industry-standard financial analysis tools and software.

The ideal candidate will have recently completed a Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field. A strong academic record with a minimum GPA of 3.5/4.0 is required. Demonstrable proficiency in Microsoft Excel (including VBA) and financial modeling is essential. Experience with programming languages such as Python or R, and familiarity with financial databases (e.g., Bloomberg, Refinitiv) is a strong advantage. Excellent analytical, problem-solving, and critical thinking skills are paramount. Strong written and verbal communication skills, with the ability to present complex information clearly and concisely, are also required. Eagerness to learn, a proactive attitude, and the ability to work effectively in a fast-paced, team-oriented environment are key attributes for success in this role.
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Graduate Analyst - Financial Markets

60242 Surabaya, East Java IDR4000000 Monthly WhatJobs

Posted 8 days ago

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intern
Our client is seeking bright and ambitious Graduate Analysts to join their esteemed financial markets division in Surabaya, East Java, ID . This is an excellent opportunity for recent graduates to gain hands-on experience in the fast-paced world of finance, working alongside experienced professionals. As a Graduate Analyst, you will be immersed in various aspects of financial market operations, including data analysis, research, and supporting senior team members in their daily tasks. You will develop a strong foundation in financial principles, market dynamics, and analytical methodologies.

Key responsibilities will involve collecting, cleaning, and analyzing financial data from various sources. You will assist in preparing market reports, presentations, and research materials that provide insights into market trends, economic indicators, and investment opportunities. The role requires a keen eye for detail, accuracy in data handling, and the ability to work effectively under pressure. You will learn to utilize financial databases and analytical tools, contributing to the team's research efforts. Collaboration with colleagues across different departments will be essential, fostering a team-oriented approach to problem-solving. This internship is designed to provide comprehensive training and exposure to the financial industry, with potential for future career growth within the organization. We are looking for candidates who demonstrate strong quantitative skills, intellectual curiosity, and a genuine passion for financial markets. Excellent communication skills and a proactive attitude are highly valued. This is a stepping stone for a successful career in finance, offering invaluable learning experiences in Surabaya, East Java, ID .

Responsibilities:
  • Assist in the collection and analysis of financial market data.
  • Support senior analysts in preparing market research reports and presentations.
  • Conduct research on economic trends and industry developments.
  • Help maintain financial databases and models.
  • Contribute to team projects and initiatives.
  • Learn and apply financial analysis techniques.
  • Perform other duties as assigned by the supervisor.
Qualifications:
  • Recent graduate with a Bachelor's degree in Finance, Economics, Business, Mathematics, or a related field.
  • Strong academic record and a demonstrated interest in financial markets.
  • Excellent quantitative and analytical skills.
  • Proficiency in Microsoft Excel and basic understanding of financial software.
  • Strong written and verbal communication skills.
  • Ability to work effectively in a team environment.
  • High level of accuracy and attention to detail.
  • Proactive attitude and eagerness to learn.
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Lead Quantitative Analyst - Financial Markets

50112 Semarang, Central Java IDR22 Annually WhatJobs

Posted 1 day ago

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full-time
Our client, a prominent financial institution, is seeking an exceptional Lead Quantitative Analyst with expertise in financial markets for a fully remote, high-impact role. This position will be instrumental in developing and implementing sophisticated quantitative models for trading strategies, risk management, and pricing derivatives across various asset classes. You will collaborate closely with traders, portfolio managers, and risk officers to drive innovation and optimize financial decision-making. The ideal candidate will possess a strong academic background in a quantitative discipline, extensive experience in financial modeling, and a deep understanding of market dynamics. This is a remote-first opportunity, requiring excellent communication, collaboration, and self-management skills to excel within a distributed team. Responsibilities include designing, building, testing, and deploying quantitative models; performing rigorous backtesting and validation; and contributing to the development of our client's proprietary trading infrastructure. You will also be involved in researching new quantitative techniques, analyzing large datasets, and providing insights to senior management. A Master's degree or PhD in Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or a related quantitative field is required. A minimum of 7 years of experience in quantitative finance, with a significant focus on developing and implementing trading or risk models in a live trading environment, is essential. Proficiency in programming languages such as Python, C++, or R, and experience with financial libraries and databases, are mandatory. A strong understanding of derivatives pricing, stochastic calculus, time-series analysis, and machine learning is highly desirable. This is a unique opportunity to leverage your quantitative prowess to shape the future of financial markets strategy within a leading firm, enjoying the flexibility of a remote work arrangement.
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Senior Quantitative Analyst - Financial Markets

29422 Batam, Riau Islands IDR22000000 Annually WhatJobs

Posted 3 days ago

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Job Description

full-time
Our client, a leading financial institution, is seeking a highly analytical and experienced Senior Quantitative Analyst to join their team in Batam, Riau Islands, ID . This role is integral to developing and implementing sophisticated financial models for pricing, risk management, and trading strategies across various asset classes. You will work closely with traders, portfolio managers, and risk officers to provide data-driven insights and quantitative solutions. The ideal candidate possesses strong mathematical skills, expertise in programming languages such as Python or C++, and a deep understanding of financial markets and derivatives. This is a critical position for driving innovation and maintaining a competitive edge in the financial industry.Responsibilities:
  • Develop, implement, and validate complex quantitative models for financial instrument pricing, risk assessment, and hedging strategies.
  • Analyze large datasets to identify market patterns, correlations, and potential trading opportunities.
  • Design and build robust analytical tools and platforms to support trading desks and risk management functions.
  • Collaborate with front-office personnel to understand their needs and develop tailored quantitative solutions.
  • Perform rigorous back-testing and scenario analysis of trading strategies and risk models.
  • Contribute to the development of algorithmic trading strategies and execution algorithms.
  • Stay abreast of the latest advancements in quantitative finance, financial technology, and market microstructure.
  • Ensure compliance with regulatory requirements and internal risk policies.
  • Communicate complex quantitative concepts and findings effectively to both technical and non-technical audiences.
  • Mentor junior quantitative analysts and contribute to the team's technical growth.
  • Identify and implement process improvements in model development, validation, and deployment.
Qualifications:
  • Master's degree or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 7 years of experience in quantitative analysis within the financial services industry.
  • Proven expertise in developing and implementing pricing, risk, and trading models for derivatives and other financial instruments.
  • Strong proficiency in programming languages such as Python, C++, R, or Java.
  • Deep understanding of financial markets, fixed income, equities, FX, and commodity derivatives.
  • Experience with statistical modeling, machine learning techniques, and data analysis.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication and presentation skills, with the ability to explain complex concepts clearly.
  • Ability to work effectively under pressure in a demanding environment.
  • Knowledge of financial databases and market data providers.
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Senior Quantitative Analyst - Financial Markets

25111 Padang, West Sumatra IDR15 Annually WhatJobs

Posted 5 days ago

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full-time
Our client, a leading global financial institution, is seeking a highly analytical and experienced Senior Quantitative Analyst to join their remote-first team. This role is ideal for a seasoned professional with a strong background in financial modeling, risk management, and algorithmic trading strategies. You will be responsible for developing and implementing sophisticated quantitative models to support trading, risk assessment, and investment decisions across various asset classes. This position requires a deep understanding of financial markets, statistical analysis, and advanced programming skills. You will work closely with traders, portfolio managers, and risk officers to provide data-driven insights and solutions that enhance financial performance and mitigate risk. The ability to thrive in a fast-paced, remote environment is essential.
Key Responsibilities:
  • Develop, test, and implement complex mathematical and statistical models for pricing, hedging, and risk management of financial derivatives.
  • Design and backtest algorithmic trading strategies across equities, fixed income, and foreign exchange markets.
  • Conduct in-depth market analysis and research to identify trading opportunities and potential risks.
  • Collaborate with front-office and back-office teams to ensure the accurate implementation and use of quantitative models.
  • Perform quantitative risk assessments and contribute to the development of risk management frameworks.
  • Analyze large datasets to uncover trends and patterns relevant to financial market behavior.
  • Stay abreast of regulatory changes and market developments impacting quantitative finance.
  • Communicate complex quantitative concepts and results clearly to stakeholders with varying levels of technical expertise.
  • Develop tools and applications to support quantitative research and trading activities.
  • Contribute to the firm's intellectual capital through research and innovation.
Qualifications:
  • Master's degree or Ph.D. in a quantitative field such as Mathematics, Physics, Statistics, Financial Engineering, Computer Science, or a related discipline.
  • A minimum of 6 years of experience in quantitative analysis, financial modeling, or algorithmic trading within the financial services industry.
  • Expert proficiency in programming languages commonly used in finance, such as Python, C++, R, or Java.
  • Solid understanding of financial derivatives, market microstructure, and portfolio theory.
  • Experience with statistical modeling, time series analysis, Monte Carlo simulations, and machine learning techniques applied to finance.
  • Proven ability to develop and implement complex financial models from conception to production.
  • Strong analytical, problem-solving, and critical thinking skills.
  • Excellent communication and interpersonal skills, with the ability to work effectively in a remote, global team environment.
  • Experience with large-scale data analysis and big data technologies is a plus.
  • Familiarity with regulatory requirements in financial markets.
This is an exceptional opportunity for a talented quantitative professional to leverage their expertise in a challenging and rewarding remote role, driving innovation and success in the financial markets.
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Senior Quantitative Analyst (Financial Markets)

25111 Padang, West Sumatra IDR22 Annually WhatJobs

Posted 6 days ago

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full-time
Our client, a prominent financial institution, is seeking an experienced Senior Quantitative Analyst to join their sophisticated team in Padang, West Sumatra, ID . This role is integral to developing and implementing complex mathematical models and statistical methods to support trading strategies, risk management, and product development within the financial markets. You will work with large datasets, cutting-edge technologies, and collaborate closely with traders, portfolio managers, and risk officers to drive innovation and maintain a competitive edge.

Key Responsibilities:
  • Develop, implement, and validate quantitative models for pricing financial derivatives, risk assessment, and algorithmic trading.
  • Analyze large volumes of financial market data to identify patterns, trends, and trading opportunities.
  • Build and maintain back-testing frameworks for trading strategies.
  • Collaborate with front-office and risk management teams to understand their needs and translate them into quantitative solutions.
  • Contribute to the development of new financial products and strategies.
  • Research and stay updated on the latest quantitative finance methodologies and technologies.
  • Document models, methodologies, and results clearly and comprehensively.
  • Present complex quantitative findings to both technical and non-technical audiences.
  • Ensure compliance with regulatory requirements and internal policies.
  • Mentor junior quantitative analysts and contribute to team knowledge sharing.
Qualifications:
  • Master’s or Ph.D. in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 5 years of experience as a Quantitative Analyst in investment banking, asset management, or hedge funds.
  • Strong proficiency in programming languages such as Python, C++, or Java.
  • Experience with statistical modeling, machine learning, and data analysis techniques.
  • Deep understanding of financial markets, derivatives pricing, and risk management principles.
  • Familiarity with financial data providers (e.g., Bloomberg, Refinitiv) and databases.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong written and verbal communication abilities.
  • Ability to work effectively in a fast-paced, collaborative environment.
  • Detail-oriented with a strong commitment to accuracy.
This hybrid role in Padang, West Sumatra, ID offers a challenging and rewarding career path for a talented quantitative professional within the dynamic world of finance.
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Senior Quantitative Analyst - Financial Markets

60211 Surabaya, East Java IDR32000000 Annually WhatJobs

Posted 7 days ago

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full-time
Our client is seeking a highly skilled Senior Quantitative Analyst to join their dynamic team. This is a fully remote position, allowing you to leverage your expertise in financial modeling and data analysis from anywhere. You will be responsible for developing and implementing sophisticated quantitative models to support trading strategies, risk management, and portfolio optimization within financial markets. The ideal candidate possesses a strong academic background in a quantitative field (e.g., Finance, Mathematics, Statistics, Computer Science), extensive experience with statistical modeling, programming, and data analysis, and a deep understanding of financial instruments and market dynamics. Key responsibilities include designing, backtesting, and deploying trading algorithms, developing risk models, and performing complex data analysis to identify market opportunities. You will collaborate closely with traders, portfolio managers, and technology teams to translate analytical insights into actionable trading strategies. This role demands exceptional analytical and problem-solving skills, advanced programming proficiency (e.g., Python, R, C++), and the ability to communicate complex quantitative concepts clearly and concisely to both technical and non-technical audiences. A keen eye for detail, a passion for quantitative finance, and a commitment to innovation are essential. Your work will directly influence trading decisions and contribute to the firm's profitability and risk management efforts.
Responsibilities:
  • Develop, test, and deploy quantitative models for trading and risk management.
  • Design and implement algorithmic trading strategies based on quantitative research.
  • Analyze large datasets to identify market trends, patterns, and opportunities.
  • Build and maintain statistical and econometric models for financial forecasting.
  • Collaborate with traders and portfolio managers to refine strategies and performance.
  • Perform sensitivity analysis and stress testing on existing models.
  • Ensure the accuracy and integrity of financial data and model outputs.
  • Communicate complex quantitative findings to stakeholders through reports and presentations.
  • Stay updated on the latest advancements in quantitative finance and computational methods.
  • Contribute to the development of proprietary trading systems and infrastructure.

Qualifications:
  • Master's or Ph.D. in Finance, Mathematics, Statistics, Economics, Computer Science, or a related quantitative discipline.
  • Minimum of 5 years of experience in quantitative analysis within the financial industry.
  • Advanced proficiency in programming languages such as Python, R, or C++.
  • Strong understanding of statistical modeling, machine learning, and time series analysis.
  • Deep knowledge of financial instruments, market microstructure, and trading strategies.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Proven ability to work independently and manage complex projects.
  • Strong written and verbal communication skills, with the ability to explain technical concepts.
  • Experience with financial databases and data visualization tools.
  • A passion for quantitative finance and a proactive approach to research.
This is an exceptional opportunity for a talented quantitative analyst to contribute to a leading financial institution in a remote capacity. If you are driven by data, innovation, and financial markets, we encourage you to apply.
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Senior Quantitative Analyst - Financial Markets

20231 Medan, North Sumatra IDR30000000 Annually WhatJobs

Posted 8 days ago

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full-time
Our client, a leading financial institution, is seeking a highly accomplished Senior Quantitative Analyst to join their elite, fully remote trading and risk management team. This role is central to developing and implementing sophisticated mathematical models and analytical tools that drive trading strategies and manage financial risk across diverse markets. As a remote-first professional, you will engage in complex data analysis, algorithm development, and quantitative research, contributing to the firm's competitive edge from your home office. Your responsibilities will include designing, backtesting, and deploying quantitative trading models, developing risk management frameworks, and performing statistical analysis on market data to identify profitable opportunities and potential risks. The ideal candidate will possess a Ph.D. or Master's degree in a quantitative field such as Mathematics, Physics, Statistics, Computer Science, or Financial Engineering. Deep expertise in statistical modeling, time series analysis, machine learning, and programming languages like Python, R, or C++ is essential. You will work with large datasets, develop robust algorithms, and collaborate closely with portfolio managers and traders to translate quantitative insights into actionable trading decisions. Strong problem-solving abilities, exceptional attention to detail, and the capacity to communicate complex quantitative concepts clearly and concisely to both technical and non-technical audiences are paramount. The ability to work independently, manage highly complex projects, and innovate within a fast-paced, evolving financial landscape is critical. This is an unparalleled opportunity to influence trading strategies and risk management practices at a high level within a premier financial organization.
Responsibilities:
  • Develop, test, and implement quantitative trading strategies and models.
  • Design and build sophisticated risk management systems.
  • Conduct in-depth statistical analysis of financial market data.
  • Utilize machine learning techniques to identify market patterns and predict trends.
  • Collaborate with traders and portfolio managers to optimize investment strategies.
  • Perform quantitative research on asset pricing and derivative modeling.
  • Develop and maintain robust data pipelines and analytical tools.
  • Communicate complex quantitative findings to stakeholders.
  • Ensure the accuracy and integrity of quantitative models.
  • Stay abreast of the latest developments in quantitative finance and technology.
Qualifications:
  • Ph.D. or Master's degree in Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or a related quantitative field.
  • Minimum of 6 years of experience in quantitative analysis within investment banking, hedge funds, or asset management.
  • Proficiency in programming languages such as Python, R, C++, or Java.
  • Expertise in statistical modeling, time series analysis, and machine learning algorithms.
  • Strong understanding of financial markets, derivatives, and risk management principles.
  • Experience with large datasets and database management.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Exceptional communication and presentation abilities.
  • Ability to work effectively in a demanding, remote environment.
This role offers a significant opportunity to shape the future of quantitative finance and drive market strategy for our client, with the full flexibility of a remote position, supporting global operations that might interface with markets related to Medan, North Sumatra, ID .
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