Job Description
Job Type Contract / Performance-Based Position Overview We are seeking a disciplined and experienced Options Trader to manage and grow company-provided capital through strategic trading in equity options. This role is ideal for traders with a proven, consistent track record who specialize in risk-managed strategies and understand how to protect and scale capital over time. Capital & Compensation β’ Company-funded trading account (starting allocation based on experience) β’ Profit split structure (e.g., 50/50 β up to 70/30 based on performance) β’ Opportunity to manage increased capital over time β’ No upfront fees required Key Responsibilities β’ Execute options trades (calls, puts, spreads, etc.) β’ Develop and follow structured, data-driven strategies β’ Manage risk with strict drawdown and position limits β’ Track and report trading performance β’ Adapt to changing market conditions Preferred Strategy Experience β’ Credit spreads (bull put / bear call) β’ Iron condors / neutral strategies β’ Covered calls / income strategies β’ Volatility (IV-based trading, earnings plays) β’ Risk-defined setups preferred Requirements β’ Proven, verifiable track record of profitability β’ Strong understanding of options (Greeks, IV, risk exposure) β’ Experience using professional trading platforms such as Interactive Brokers, ThinkorSwim, or similar β’ Ability to follow strict risk management rules β’ Independent decision-making and discipline Risk & Compliance β’ Max drawdown and daily loss limits enforced β’ No overleveraging or high-risk trading behavior β’ Must comply with all U.S. financial regulations What We Are NOT Looking For β’ Signal sellers or course-only traders β’ βYOLOβ or gambling-style trading β’ Inconsistent or unverified performance How to Apply Please submit β’ Summary of trading experience β’ Verified results (broker statements or metrics) β’ Strategy breakdown β’ Average monthly return + max drawdown Job Type: Contract Pay: $30,000.00 - $150,000.00 per year Work Location: Remote