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Options Manager Jobs in Missouri (NOW HIRING)

Client flow - work with Relationship Managers, Sales and Marketing to grow client options and derivatives flow into the book. * Team build-out - size, composition and sequencing at the hire ...

Onboards members to self-service options. * Manages and/or participates in phone queues. * Works at other locations as needed. Sales * Creates a sales environment that meets the financial goals of ...

Schedule: Full-time, Part-time, PRN, or 4-day week options Manage a local caseload with steady hourly pay, paid charting time, and fewer daily visits. No clinic. No overloaded schedules. No ...

Schedule: Full-time, Part-time, PRN, or 4-day week options Manage a local caseload with steady hourly pay, paid charting time, and fewer daily visits. No clinic. No overloaded schedules. No ...

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Parts Management: Order, track, and manage necessary replacement parts. * Record Keeping: Maintain detailed and accurate records of all repairs, services, and parts used. * Safety & Compliance:

Be Seen First

Parts Management: Order, track, and manage necessary replacement parts. * Record Keeping: Maintain detailed and accurate records of all repairs, services, and parts used. * Safety & Compliance:

Be Seen First

Parts Management: Order, track, and manage necessary replacement parts. * Record Keeping: Maintain detailed and accurate records of all repairs, services, and parts used. * Safety & Compliance:

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Options Manager information

What job makes $10,000 a month without a degree?

An Options Manager, or similar financial trading roles, can potentially earn $10,000 or more per month through commissions and profit sharing, especially with experience and a strong understanding of options trading strategies. These roles often require advanced knowledge of financial markets, risk management skills, and sometimes certifications like the Series 7 or Series 63, but do not always require a college degree.

What is the highest paying manager position?

The highest paying manager positions are typically executive roles such as Chief Executive Officer (CEO), Chief Operating Officer (COO), and Chief Financial Officer (CFO), with salaries often exceeding several hundred thousand dollars annually. In some industries, specialized managerial roles like Investment Manager or General Manager of large corporations can also command high compensation, especially with bonuses and stock options.

What jobs in the US pay 300,000 a year?

Options Managers typically do not earn $300,000 annually; high-paying roles in finance, such as investment bankers, hedge fund managers, and senior executives, often reach or exceed this level. Professions requiring advanced degrees, extensive experience, and specialized skills in industries like technology, law, or medicine can also offer salaries at or above this threshold.

What is the hardest month to get a job?

For an Options Manager or similar finance roles, the hardest months to secure a job are typically during the holiday season in December and early summer in July and August, when hiring slows due to vacations and market fluctuations. These periods often see fewer openings and slower recruitment processes, making job searches more challenging. However, hiring activity can vary based on industry cycles and company needs.

What is the difference between Options Manager vs Options Analyst?

AspectOptions ManagerOptions Analyst
CredentialsTypically requires a bachelor's degree in finance, economics, or related field; certifications like CFA are commonUsually holds a bachelor's degree in finance, economics, or mathematics; CFA or options trading certifications are advantageous
Work EnvironmentWorks in financial firms, trading floors, or investment banks, managing options portfolios and strategiesWorks in similar environments, analyzing options data, pricing models, and market trends
Job FocusOversees options trading strategies, risk management, and portfolio performanceFocuses on analyzing options data, pricing, and providing insights for trading decisions

Options Managers and Options Analysts both operate within the options trading sector, often in the same industry environments. While Options Managers oversee trading strategies and risk management, Options Analysts focus on data analysis and market research. Both roles require strong financial knowledge and relevant certifications, but their responsibilities differ in scope and focus.

What are popular job titles related to Options Manager jobs in Missouri? For Options Manager jobs in Missouri, the most frequently searched job titles are:
What job categories do people searching Options Manager jobs in Missouri look for? The top searched job categories for Options Manager jobs in Missouri are:
What cities in Missouri are hiring for Options Manager jobs? Cities in Missouri with the most Options Manager job openings:

Head of Options Trading

EXANTE

On-site, Remote

Other

Posted 8 days ago


Job description

Company & Culture 

EXANTE is a pioneering wealth tech company that delivers cutting-edge centralised trading solutions and robust B2B financial infrastructure, driving value through innovative technology. Our proprietary trading platform offers seamless access to diverse financial instruments-including stocks, ETFs, bonds, futures, and options-all within a single, multi-currency account. 

We cultivate a culture that transcends the ordinary, where rapid responses to market dynamics and proactive problem-solving are the norm. At EXANTE, the potential to make a meaningful impact is ever-present. Our team members continuously pursue personal and professional growth, empowered to spearhead change across people, processes, and products. True innovation stems from an insatiable desire for improvement, and everyone at EXANTE is committed to fostering this spirit and propelling the company forward. 

As a rapidly expanding global firm with over 600 talented employees from 65 nationalities across 70 locations, we are a frontrunner in the financial sector. Our investment priorities are clear: We prioritise investing in our most valuable asset-our people. Join us in shaping the future of finance. 

About the Role

Run and grow EXANTE's options and derivatives business, with full P&L responsibility for both the principal derivatives trading book and client options trading. 

Reporting line: Chief Operations Officer.

Worksite: Remote

Responsibilities

  • Principal book - design and run the trading and hedging strategies for the options and derivatives trading book, including market making against internal client flow, risk management, and any directional or relative-value strategies the candidate proposes.
  • Product development - enhance the existing options offering and identify, design and launch new derivative products on the platform where commercially attractive (e.g. FX options, additional listed derivatives, more modern instruments).
  • Counterparty and liquidity - identify, negotiate and onboard the right exchanges, prime brokers, market makers and OTC counterparties for execution and hedging; own the relationships.
  • Platform enhancement - partner with Technology and Product to define and deliver the roadmap of platform improvements required to support the trading book and the product roadmap.
  • Client flow - work with Relationship Managers, Sales and Marketing to grow client options and derivatives flow into the book.
  • Team build-out - size, composition and sequencing at the hire's discretion, consistent with the approved business plan.
  • Cross-functional cooperation - work closely with Compliance, Risk, Operations, Treasury and Technology to design the end-to-end workflow and risk framework.
  • Product governance - own the suitability framework and applicable conduct rules across the relevant booking entities.

Experience

  • 10-20 years' experience in options or derivatives principal trading, market making or running a derivatives trading book at a sell-side firm, broker or proprietary trading house.
  • Multi-asset experience - across equity, index, FX and commodity asset classes, and across both listed and OTC markets.
  • Strong risk management background - delta, gamma, vega, correlation and exotic risks at scale.
  • Product launch track record - experience launching new derivative products is a strong plus.
  • Established network - a strong network of counterparty, exchange and liquidity-provider relationships.
  • Player-coach - willing to lead pricing and trading decisions personally before scaling the team.
  • Regulatory knowledge - working knowledge of MiFID II product governance, suitability rules, and equivalent regimes in the UK and Asia.
  • Fluent English - mandatory.
  • Commercial and direct - comfortable with full accountability for a P&L.
What we offer
  • Competitive salary that reflects your experience and the value you bring.
  • Flexibility that fits your life - work from home, from our office, or a mix of both. You decide what works best.
  • Flexible benefits package - choose the options that suit your life, not a one-size-fits-all bundle.
  • A genuinely good place to work - an informal, collaborative culture where ideas are heard and bureaucracy stays out of your way.
  • Continuous learning - ongoing training, education programs, and the support to deepen your expertise in a fast-moving industry.
  • Connection beyond your desk - events that bring our teams together to network and celebrate.
  • Global exposure - work side by side with talented colleagues from all over the world, across a business serving clients in 100+ countries.