About Us
We are a rapidly growing multi-asset brokerage with a strong presence across APAC. Our firm is building a best-in-class risk and trading team to manage both institutional and retail flow, optimise liquidity, and enhance trade execution strategies. This is an exciting opportunity for quantitative-minded professionals to join a fast-paced environment and play a critical role in shaping the future of our dealing and risk functions.
Key Responsibilities
- Oversee trade executions across FX, CFDs, commodities, and indices
- Monitor liquidity provider performance — slippage, fill quality, quote consistency
- Optimise order routing strategies for best execution
- Support internal hedging activities — execute trades to manage exposure
- Collaborate with product and IT to improve pricing engines and hedging logic
- Analyse execution data to benchmark LP performance
- Build tools to automate trade performance reporting and alerts
- Support onboarding and evaluation of new LPs and liquidity sources
- Work closely with the Risk and IT teams to align trading strategies with risk objectives
- Develop and enhance quantitative models to analyse execution quality and trading costs
- Understanding and analyse price flows, slippage, execution stability
Requirements
- Degree in Finance, Mathematics, Quantitative Finance, Financial Engineer, Actuary, Computer Science, or related field
- Ability to work under pressure, especially during market events and high volatility
- Strong attention to detail and problem-solving mindset
Advantageous Requirements
- Minimum 1 year experience in a quantitative dealing or execution role (brokerage/prop firm/LP)
- Strong understanding of Bullion, futures, FX, CFDs, indices, and commodities trading
- Proficiency in C++, Python/SQL for automation and analysis
- Hands-on experience with MT4/MT5, PrimeXM, OneZero, or similar platforms
- Solid understanding of liquidity aggregation, order routing, and slippage analysis
Bonus Points
- Experience with dynamic liquidity pool management
- Knowledge of market impact modelling and trade cost analysis
- Previous experience working directly with top-tier LPs
- Experience with API trading, FIX connectivity, and bridge technology
What We Offer
- Competitive salary + performance bonus
- Work directly with Head of Liquidity & Trading
- Opportunity to design trading processes and tools from scratch
- Fast-track promotion path for strong performers
- Hybrid working model (Sydney office + remote)
Job Type: Full-time
Application Question(s):
- How many years of bullion market experience do you have?
- How many years of dealing analytic experience do you have?
Education:
- Bachelor Degree (Preferred)
Experience:
- Finance: 1 year (Preferred)
Work Authorisation:
- Australia (Required)
Location:
- Sydney NSW 2000 (Preferred)
Work Location: In person