On-site Full Time
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Maysan FinTech

Job Details

we are seeking a Portfolio Manager specialized in Options Trading to join our investment team. The role focuses on selecting, managing, and monitoring options contracts in the U. S. market, with a strong emphasis on disciplined execution and risk management. The ideal candidate is genuinely passionate about options trading, has hands-on experience, and follows a structured, professional approach rather than speculative or random trading. Key Responsibilities Identify and select high-quality options contracts in the U. S. equity and ETF markets. Execute options strategies aligned with portfolio objectives and predefined risk limits. Monitor open positions and manage trade adjustments and exits. Apply strict risk management rules, including position sizing and exposure control. Analyze market conditions, volatility, and option pricing. Document trades, rationale, and performance outcomes. Contribute to continuous improvement of trading strategies and processes. Required Qualifications Minimum 2+ years of proven experience in options trading. Solid understanding of options fundamentals and Greeks (Delta, Theta, Vega, Gamma). Experience trading U. S. stocks, ETFs, or indices. Demonstrated ability to manage risk consistently. Strong analytical and decision-making skills. Professional working proficiency in English. Ability to work independently with a high level of responsibility. Preferred Qualifications Experience managing live portfolios (not simulated accounts). Familiarity with volatility-based or income-focused options strategies. Background in a regulated or professional investment environment. What We Offer A professional and disciplined investment environment. Opportunity to work within a structured portfolio management framework. Long-term growth potential as the business expands.

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About Maysan FinTech
Saudi, Jeddah
Financial Services