The Manager-Equity Trading leads the execution and management of equity trading activities within a financial institution or asset management company. This role focuses on developing, implementing, and optimizing equity trading strategies to achieve superior returns while maintaining risk controls. The manager continuously monitors market conditions and analyzes portfolio performance to ensure alignment with investment objectives. This position requires a strategic thinker with a strong foundation in financial modeling, market analysis, and risk management.
In this role, the Manager-Equity Trading collaborates with analysts and portfolio managers to support investment decisions and improve trading efficiency. Although not responsible for managing a team, the manager must proactively coordinate with external brokers, compliance teams, and key stakeholders to execute trades effectively and ensure regulatory adherence. This position demands a minimum of three years of experience within asset management or financial institutions, demonstrating expertise in equity markets and trading environments.
Responsibilities
Formulate and execute overarching investment theses across targeted sectors and asset classes.
Spearhead sophisticated debt and equity structures, including leveraged buyouts, growth equity, and co-investments.
MBA / Graduate from HEC approved universities or member of recognized Institute of professional Accountants / Body.