Universis Capital Partner is an alternative investment fund with a management capacity of up to USD 500 million, carried out in phases of USD 100 million. We manage financial assets with the best resources in analytics and management, adapted to both traditional and digital assets, based on cryptocurrency infrastructure and blockchain technologies. We provide liquidity in markets and assets, trading, market maker, project finance, venture capital, early stage tokens and liquid tokens, with a total of 12 management lines divided into 3 groups. We build strategic alliances with major partners (Funds, Labs, Venture, Market Maker) globally, which strengthen joint institutional management and streamline our contribution of liquidity in trading and top-tier projects. We work with sophisticated traders, token issuers, funds, professional investors, regulated trusts and major exchanges worldwide. Our growing team is formed by the best senior professionals in each specialty, with more than 9 years of experience in commercial management, algorithmic development, financing and investment in projects. We generate close relationships with the promoters of the projects in which we participate, providing investment and liquidity in key stages; Seed and Series A.Who are we looking for: Head of OTC Trading Options - Cryptocurrency. We are looking for a trader with extensive experience in OTC trading, to lead our International Over The Counter (OTC) department. Lead the entire trading team and trade executions in a wide portfolio of assets. Demonstrable experience in managing or developing OTC and Options strategies is a must. He will have his own investment portfolio, lead and coordinate the operations of the other members of the department, directing the management of the central risk and the quality of the executions.Responsibilities:Execution of OTC trades in a broad portfolio of cryptocurrencies and in spot, derivative and DeFi formats, structured products, vanilla options, exotic options.Lead the operations of the other members of the department, including coordinating the execution of all asset portfolios, products and strategies, including his own portfolio.Manage the team of traders and analysts for proper coordination in risk management.Increase performance management by improving risk quantification.Collaborate with all other members and teams, including strategy reviews, code and common advice on programming matters.Requirements:Academic or postgraduate quantitative training in Finance, Applied Mathematics or similar.Strong Python skills, 2 to 3 years are desirable, but not mandatory.In-depth knowledge of the financial sector: Algorithmic Trader OTC, High Frequency Trading, Derivatives Trading, Options trading.An analytical and problem-solving mindset.Ability to work independently, but in a collaborative team environment.#J-18808-Ljbffr