AAA Global · 1 week ago
Commodity Trader | New York, USA
AAA Global is seeking elite strategists to manage substantial capital in the global commodities complex. The role involves developing and executing proprietary trading strategies while navigating complex market conditions to capture alpha.
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Responsibilities
Managed a PnL book exceeding $5M+ annually with consistent returns across any commodity
Developed and executed proprietary trading strategies utilizing fundamental supply/demand analysis and relative value models
Navigated complex geopolitical events and supply chain disruptions to monetize volatility across futures and options
Led cross-commodity sector coverage, mentoring junior traders and expanding the desk’s strategic reach across products
Exceptional negotiation and relationship management skills for sourcing liquidity and understanding global physical flows
Decisiveness under extreme pressure, maintaining emotional discipline during periods of high market velocity and stress
Strategic vision to identify structural market dislocations and express high-conviction views with appropriate sizing
Ability to articulate complex risk scenarios and trade rationale to risk managers and capital allocators
Qualification
Required
5+ years in proprietary or hedge fund trading
A proven risk-taker with a multi-million dollar track record trading across diverse commodity sectors
Managed a PnL book exceeding $5M+ annually with consistent returns across any commodity
Developed and executed proprietary trading strategies utilizing fundamental supply/demand analysis and relative value models
Navigated complex geopolitical events and supply chain disruptions to monetize volatility across futures and options
Led cross-commodity sector coverage, mentoring junior traders and expanding the desk's strategic reach across products
Exceptional negotiation and relationship management skills for sourcing liquidity and understanding global physical flows
Decisiveness under extreme pressure, maintaining emotional discipline during periods of high market velocity and stress
Strategic vision to identify structural market dislocations and express high-conviction views with appropriate sizing
Ability to articulate complex risk scenarios and trade rationale to risk managers and capital allocators
Bachelor's or Master's degree in Finance, Economics, Mathematics, or Engineering from a top-tier university
Series 3 or Series 7/63 licenses required for derivatives trading in the US jurisdiction
Proven history of working within a hedge fund, prop desk, or merchant trading house environment
Preferred
Relevant certifications such as CFA, CAIA, or ERP (Energy Risk Professional) are highly advantageous