Futures Derivatives Trader in London

Futures Derivatives Trader in London

London Full-Time 36000 - 60000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage firm capital using innovative trading strategies across global markets.
  • Company: MA Capital, a cutting-edge proprietary trading firm with a focus on innovation.
  • Benefits: Competitive revenue share, flexible working options, and professional development opportunities.
  • Why this job: Join a dynamic team and leverage advanced technology to optimise trading performance.
  • Qualifications: 2+ years of trading experience with a proven track record in futures markets.
  • Other info: Agile startup environment promoting rapid decision-making and growth.

The predicted salary is between 36000 - 60000 £ per year.

MA Capital is a proprietary trading firm specializing in both systematic and high-performing discretionary strategies across multiple asset classes. Leveraging cutting-edge technology, quantitative research, and sophisticated models, we identify and capitalize on opportunities in global financial markets. Our culture prioritises innovation, efficiency, and transparency, ensuring our traders have the flexibility and tools they need to succeed.

What sets us apart:

  • Highly competitive PnL splits (30–50%), well above industry standards
  • Low clearing and exchange fees to preserve your edge and improve net returns
  • CME 106j membership, offering better access and reduced costs
  • A focused workplace where skilled traders can perform at their best, free from slowdowns of traditional corporate structures

Position Overview

We are seeking an experienced Futures Derivatives Trader to manage firm capital using high-performing discretionary or semi-systematic strategies across CME, CBOT, Comex, Nymex. This role is suitable for both point-and-click traders and those evolving toward automated frameworks. You will be expected to trade multiple products, not just single contracts, and take full responsibility for pricing, execution, and risk management.

Key Responsibilities

  • Generating positive cash flow on a consistent basis and with strict risk discipline.
  • Portfolio & Risk Management: Maintain risk exposure within firm parameters.
  • Performance Optimization: Continuously analyse and adjust strategies based on market conditions and real-time performance data. Researching new strategies.
  • Opportunity in Strategy Development: Build and deploy systematic or semi-systematic strategies.

Qualifications

  • Experience: 2+ years buy side trading in CME, CBOT, Comex, Nymex futures at proprietary trading firm, hedge fund, family office.
  • Proven Track Record: Demonstrated success in managing profitable trading strategies with risk-adjusted returns (specifically types of trading strategies – spread trading, calendar spreads, curve trading, arbitrage, butterflies, etc.)
  • Risk Management: Strong understanding of risk controls, money management, order management and regulatory compliance.
  • Risk Ownership: Full accountability for trading decision-making, PnL, and drawdowns.
  • Adaptability to different markets - trader should be able to trade contracts with different underlying assets, diversification encouraged.
  • Key skills: Consistency, structured decision-making and strict risk discipline.

Why Join Us?

  • Higher PnL Splits: 30-50% revenue share, significantly higher than the industry standard (10-15%) with no need depositing your own funds.
  • Startup Environment: Agile and entrepreneurial setup, allowing for flexibility and rapid decision-making.
  • Growth-Oriented: Transition support for discretionary traders moving into systematic approaches.
  • Flexible Working Options: Ability to work from anywhere or in our digital hubs/offices.
  • Professional Development: Opportunities to grow and refine your strategies with cutting-edge technology and infrastructure.

What We Expect from You

  • A clear description of your current trading stack (tools, platforms, data, models).
  • Ability to either develop or communicate tool requirements to engineers.
  • Understanding of your capital efficiency, return-on-capital, and risk profile.
  • A detailed P&L profile: performance range, expected returns, and drawdown behaviour.
  • Strong sense of ownership and accountability for your trading.

Futures Derivatives Trader in London employer: MA CAPITAL U.S. LLC

MA Capital is an exceptional employer for Futures Derivatives Traders, offering a dynamic and innovative work environment that prioritises flexibility and efficiency. With highly competitive profit-sharing models, low fees, and access to exclusive trading memberships, employees are empowered to maximise their potential while enjoying opportunities for professional growth and development in a supportive culture that values transparency and accountability.
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Contact Detail:

MA CAPITAL U.S. LLC Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Futures Derivatives Trader in London

✨Tip Number 1

Network like a pro! Connect with other traders and industry professionals on platforms like LinkedIn. Join trading forums or attend finance meetups to get your name out there and learn about hidden job opportunities.

✨Tip Number 2

Show off your skills! Prepare a solid trading portfolio that highlights your best strategies and results. When you land an interview, be ready to discuss your approach to risk management and how you've adapted to market changes.

✨Tip Number 3

Stay updated on market trends! Follow financial news and analysis to keep your finger on the pulse of the industry. This knowledge will not only help you in interviews but also show potential employers that you're passionate and informed.

✨Tip Number 4

Apply through our website! We love seeing candidates who take the initiative. Make sure to tailor your application to highlight your experience with CME, CBOT, Comex, and Nymex futures, and demonstrate how you can contribute to our innovative culture.

We think you need these skills to ace Futures Derivatives Trader in London

Futures Trading
Risk Management
Portfolio Management
Performance Optimisation
Strategy Development
Market Analysis
Order Management
Regulatory Compliance
Adaptability
Structured Decision-Making
Cash Flow Generation
Quantitative Research
Trading Strategy Implementation
Communication Skills

Some tips for your application 🫡

Show Off Your Trading Experience: Make sure to highlight your 2+ years of trading experience in your application. We want to see your proven track record, so don’t hold back on sharing your successes and the strategies you've used!

Be Clear About Your Tools: We’re keen to know about your current trading stack. Describe the tools, platforms, and models you use. This helps us understand how you operate and what you bring to the table.

Demonstrate Your Risk Management Skills: Risk management is key in our world. Make sure to detail your understanding of risk controls and how you manage your P&L. Show us that you take ownership of your trading decisions!

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you don’t miss out on any important details!

How to prepare for a job interview at MA CAPITAL U.S. LLC

✨Know Your Trading Stack

Before the interview, make sure you can clearly articulate your current trading stack. Be ready to discuss the tools, platforms, and models you use. This shows that you have a solid understanding of your trading environment and can communicate effectively with engineers.

✨Demonstrate Risk Management Skills

Prepare to discuss your approach to risk management in detail. Highlight specific strategies you've used to maintain risk exposure within firm parameters. This will demonstrate your ability to manage capital responsibly and align with the firm's focus on strict risk discipline.

✨Showcase Your Track Record

Bring evidence of your past performance, including a detailed P&L profile. Be ready to discuss your successful trading strategies, such as spread trading or arbitrage, and how they’ve generated positive cash flow. This will help build credibility and show that you can deliver results.

✨Be Adaptable and Innovative

Highlight your adaptability to different markets and your willingness to evolve your strategies. Discuss any experiences where you've successfully adjusted your approach based on market conditions. This aligns with the firm's culture of innovation and efficiency, making you a strong candidate.

Futures Derivatives Trader in London
MA CAPITAL U.S. LLC
Location: London
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