41 Stock Trading jobs in India
Stock Trading Operator
Posted 7 days ago
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Profile: Stock Trading Operator
Experience: 05 - 05 years
Salary: Upto 30k
Job Description:
We are looking for an experienced Stock Broking Operator who can trade on behalf of clients. The ideal candidate should have hands-on experience in equity and F&O trading and should be confident in handling client orders efficiently.
Roles:
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Execute trades (buy/sell) on behalf of clients in equity and F&O segment.
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Manage and monitor client portfolios and trading activity.
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Communicate with clients regarding market updates and trade confirmations.
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Ensure timely execution of orders and proper documentation.
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Maintain trading records and reports.
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Coordinate with the back office for settlements and compliance.
Qualification: Graduate
Graduate Analyst - Financial Markets
Posted 1 day ago
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Key Responsibilities:
- Assist in market research and analysis of financial trends.
- Support senior analysts in data collection and reporting.
- Prepare presentations on market conditions and investment opportunities.
- Gain exposure to trading operations and financial modeling.
- Learn about risk management frameworks and compliance procedures.
- Contribute to internal projects and team initiatives.
- Develop proficiency in financial data platforms.
- Participate in team meetings and contribute insights.
Qualifications:
- Bachelor's degree in Finance, Economics, Statistics, or a related quantitative field.
- Strong analytical and numerical abilities.
- Proficiency in Microsoft Excel and other data analysis tools.
- Excellent communication and presentation skills.
- Keen interest in financial markets and investment strategies.
- Ability to work effectively both independently and as part of a team.
Financial Markets-analyst-c1
Posted today
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India | Full-time (FT) | Financial Markets
Shift Timings - Flexible 24x7 | Management Level - Analyst| Travel Requirements - NA
Specialism - Trade settlements, Capital market, types of Capital market Derivatives, and types of Derivatives
eClerx is looking to hire Finance Analysts with 0-2 years of experience.
Please find below additional details related to the interview process and the job profile.
1. Aptitude Test: Logical, Quantitative and English grammar
2. HR Interview
3. Operation Interview (Final round)
The aptitude test will be conducted online and from the comfort of your home. The next two rounds, i.e. the HR Interview and the Operations round will be conducted via the Google Duo app. To participate in the aptitude test, you will need a webcam enabled laptop or desktop, or mobile.
This job requires an understanding of Trade settlements, Capital market, types of Capital market Derivatives, and types of Derivatives. Hence, kindly refresh your knowledge on these topics.
Finance Analyst Responsibilities
- Working on back office and middle office processes for financial institutions
- Handling different stages of client/product life cycle across stages - KYC, reference data management, legal docs, loans, portfolio reconciliation, document capture, system reconciliation, pre and post settlements, brokerage functions, drafting, trade support, corporate actions, tax operations etc.
- Expected to work on Data capture, cataloguing, data processing, system inputs and updates, reconciliations, settlements and fund transfers
- Preparation of reports using MS Excel
- Risk identification and escalation, timely escalation of outstanding issues to clients
- Working on various trade support activities across the Trade Lifecycle like Trade Confirmation matching, Trade Pre-Settlements support, Front office to back-office reconciliation of trade position, Report generations, Settlements of Cash Flows coming from various trading events like Interest or Premium, Operations of Syndicated Loans, Corporate action set-up and operations
- Working on other capital market operational tasks other than Trade Life-cycle support like Reference Data support, Regulatory reporting (Swaps Data Repository, SDR, Know Your Customer (KYC), various front-office and back-office reconciliations
**Minimum Qualifications**
- 0 to 2 years of finance experience
- Finance/Commerce Graduate can apply
- CAMS certification desirable (Certified Anti-Money Laundering Specialist)
eClerx provides critical business operations services to over fifty global Fortune 500 clients, including some of the world’s leading companies across financial services, cable & telecom, retail, fashion, media & entertainment, manufacturing, travel & leisure, software, and high-tech. Incorporated in 2000, eClerx is one of India’s leading process management and data analytics companies and is today traded on both the Bombay and National Stock Exchanges of India. eClerx employs 9,500-plus people across its global sites in the US, UK, India, Italy, Germany, Singapore, Thailand.
- eClerx is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability or protected veteran status, or any other legally protected basis, per applicable law._
Accounts Executive - Share Trading, Stock Broking
Posted today
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Accounts Executive
Client:
Share Trading, Stock Broking
**Location**:
Race course & Singanallur
Educational Qualification:
MCom/BCom
Work Experience:
2-3 Yrs.
**Salary**:
₹20,000.00 - ₹25,000.00 per month
**Duties**:
- Good Working Knowledge of MS Office is Mandatory esp MS Excel
- Daily Accounting, Taxing, Banking, Book Keeping, Taxation etc
- Previous Exp in any Share Trading, Stock Broking, will be added advantage
- Tally Knowledge is Must.
Contact:
(+91 9677 884 885 - Voice & Whatsapp)
Senior Investment Analyst - Financial Markets
Posted today
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Responsibilities:
- Conduct comprehensive financial analysis of public and private companies, industries, and economic conditions.
- Develop sophisticated financial models to forecast company performance, valuation, and investment returns.
- Analyze financial statements, market data, and industry reports to identify investment trends and opportunities.
- Prepare detailed investment research reports, recommendations, and presentations for senior management and clients.
- Monitor and track the performance of investment portfolios, providing regular updates and analysis.
- Evaluate macroeconomic factors and their potential impact on investment strategies.
- Collaborate with portfolio managers to develop and refine investment strategies.
- Perform due diligence on potential investments and assess associated risks.
- Stay current with financial market developments, regulatory changes, and best practices.
- Utilize financial databases and software (e.g., Bloomberg, Refinitiv) effectively.
- Communicate complex financial information clearly and concisely to diverse audiences.
- Contribute to the firm's investment committee meetings and decision-making processes.
- Mentor junior analysts and contribute to team development.
- Ensure compliance with all regulatory requirements and ethical standards.
Qualifications:
- Master's degree in Finance, Economics, Mathematics, or a related quantitative field.
- CFA charterholder or progress towards CFA qualification is highly preferred.
- Minimum of 5 years of experience in investment analysis, equity research, or portfolio management.
- Proven expertise in financial modeling, valuation methodologies, and statistical analysis.
- Strong understanding of capital markets, financial instruments, and investment strategies.
- Advanced proficiency in Microsoft Excel, financial modeling software, and databases.
- Excellent analytical, critical thinking, and problem-solving skills.
- Exceptional written and verbal communication skills, with the ability to present complex information effectively.
- Ability to work independently and manage multiple projects in a fast-paced, remote environment.
- High level of attention to detail and accuracy.
- Experience with quantitative analysis and data visualization tools is a plus.
Remote Investment Analyst - Financial Markets
Posted today
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Senior Quantitative Analyst - Financial Markets
Posted today
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Key responsibilities:
- Design, develop, and implement quantitative models for pricing derivatives, risk management, and algorithmic trading strategies.
- Conduct in-depth statistical analysis of market data to identify trading opportunities and patterns.
- Build and maintain robust trading systems and infrastructure.
- Backtest and validate trading models using historical and real-time data.
- Collaborate with traders and portfolio managers to understand market needs and translate them into quantitative solutions.
- Monitor the performance of trading strategies and make necessary adjustments.
- Research and implement cutting-edge quantitative techniques and methodologies.
- Ensure the accuracy and reliability of data inputs and model outputs.
- Communicate complex quantitative concepts clearly to both technical and non-technical audiences.
- Stay updated on financial market trends and regulatory changes.
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 quantitative finance, hedge funds, or investment banking.
- Proven experience in developing and implementing quantitative trading models and strategies.
- Expertise in statistical modeling, time series analysis, and machine learning techniques.
- Strong programming skills in languages such as Python, C++, R, or MATLAB.
- Deep understanding of financial markets, instruments (equities, fixed income, derivatives), and risk management principles.
- Excellent analytical, problem-solving, and critical thinking skills.
- Ability to work independently and as part of a high-performing remote team.
- Strong communication and presentation skills.
- Experience with large datasets and data visualization tools is a plus.
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Remote Senior Risk Analyst - Financial Markets
Posted today
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Key Responsibilities:
- Develop and implement risk management frameworks and models.
- Conduct quantitative analysis of market, credit, and operational risks.
- Monitor key risk indicators (KRIs) and prepare risk reports for senior management.
- Assess the impact of economic and market changes on the organization's risk profile.
- Collaborate with business units to identify and address emerging risks.
- Ensure compliance with relevant financial regulations and industry standards.
- Contribute to the development of stress testing and scenario analysis.
- Propose strategies and controls to mitigate identified risks.
- Maintain and enhance risk management systems and tools.
- Mentor junior analysts and provide guidance on risk assessment methodologies.
Vice President, Application Development, Global Financial Markets Technology
Posted today
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Primary Location
:India-Telangana-Hyderabad - DAH2Job
:TechnologySchedule
:RegularEmployee Status
:Full-time:Job Posting
:Aug 21, 2025, 5:05:08 AM