2

Remote Multi Asset Trader Jobs (NOW HIRING)

Remote Responsibilities * Principal trading book - provide liquidity against client flow ... Multi-asset risk management - strong background across delta, gamma, vega, correlation, liquidity ...

Lead the evolution toward a multi-asset trading architecture supporting cross-margining across equities, options, FX, futures, and other derivatives * Design and deliver institutional trading ...

Risk Manager, FCM

Charleston, WV · Remote

$100K - $250K/yr

... trading platform with innovative, multi-asset products bridging traditional finance (TradFi) and ... Flexi-work hour and hybrid or remote set-up Aspire career alternatives through us - our internal ...

Risk Manager, FCM

$100K - $250K/yr

... trading platform with innovative, multi-asset products bridging traditional finance (TradFi) and ... Flexi-work hour and hybrid or remote set-up Aspire career alternatives through us - our internal ...

Deep familiarity with the trade lifecycle: holdings, transactions, corporate actions, cost basis, and reconciliation * Multi-asset class experience: equities, fixed income, munis, alternatives, and ...

Equity Sales Trader

Boston, MA · On-site +1

$85K - $120K/yr

Their platform is resonating strongly with multi-strategy hedge funds, long-only asset managers ... Remote anywhere in the United States Equity Sales Trader Responsibilities * Develop and maintain ...

Quant Researcher, OEX

$100K - $230K/yr

... trading platform with innovative, multi-asset products bridging traditional finance (TradFi) and ... Flexi-work hour and hybrid or remote set-up Aspire career alternatives through us - our internal ...

Worksite : Remote Responsibilities * Principal book - design and run the trading and hedging ... Multi-asset experience - across equity, index, FX and commodity asset classes, and across both ...

Quant Researcher, OEX

Charleston, WV · Remote

$100K - $230K/yr

... trading platform with innovative, multi-asset products bridging traditional finance (TradFi) and ... Flexi-work hour and hybrid or remote set-up Aspire career alternatives through us - our internal ...

CCXT library, custom execution infrastructure for multi-asset trading Requirements Required ... Fully remote with flexible hours * Direct product impact -shape the future of agentic trading ...

AI Production Support Engineer

Jersey City, NJ · On-site +1

$43.75 - $57.25/hr

... multi-asset trading on a global scale. We serve more than 3,000 clients in more than 85 countries ... Tradeweb Technology jobs are fully remote. The Tradeweb Technology hub is located in our Jersey ...

AI Production Support Engineer

Jersey City, NJ · On-site +1

$43.75 - $57.25/hr

... multi-asset trading on a global scale. We serve more than 3,000 clients in more than 85 countries ... Tradeweb Technology jobs are fully remote. The Tradeweb Technology hub is located in our Jersey ...

next page

Showing results 1-20

Remote Multi Asset Trader information

See salary details

$39.5K

$96.8K

$269.5K

How much do remote multi asset trader jobs pay per year?

As of Jul 12, 2026, the average yearly pay for remote multi asset trader in the United States is $96,774.00, according to ZipRecruiter salary data. Most workers in this role earn between $56,500.00 and $105,500.00 per year, depending on experience, location, and employer.

What is the difference between Remote Multi Asset Trader vs Remote Equity Trader?

AspectRemote Multi Asset TraderRemote Equity Trader
CredentialsFinance degree, certifications like CFA or Series 7Finance degree, CFA often preferred, Series 7
Work EnvironmentFinancial firms, hedge funds, asset management companiesBrokerages, investment banks, asset management firms
Industry UsageUsed across various asset classes including stocks, bonds, commoditiesPrimarily focused on stock markets and equities
Search & Comparison IntentLooking for roles involving multiple asset classes and diversificationFocusing on stock trading and equity markets

The Remote Multi Asset Trader manages a diverse portfolio across multiple asset classes, requiring broader market knowledge. In contrast, the Remote Equity Trader specializes in stock trading within equity markets. Both roles demand similar certifications and work environments but differ in scope and asset focus.

More about Remote Multi Asset Trader jobs
What cities are hiring for Remote Multi Asset Trader jobs? Cities with the most Remote Multi Asset Trader job openings:
What are the most commonly searched types of Multi Asset Trader jobs? The most popular types of Multi Asset Trader jobs are:
What states have the most Remote Multi Asset Trader jobs? States with the most job openings for Remote Multi Asset Trader jobs include:

Other

Posted 23 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 

Build, run and develop EXANTE's principal trading book across asset classes. Provide liquidity against client flow, manage the resulting inventory and hedge residual exposure to generate P&L within the firm's regulatory, best-execution and conflict-of-interest framework, with full P&L responsibility for the principal trading book. 

Reporting line: Chief Operations Officer.

Worksite: Remote

Responsibilities

  • Principal trading book - provide liquidity against client flow, internalise and aggregate exposures where commercially attractive, manage inventory and hedge residual market risk.
  • Trading strategies - market making, flow trading, relative-value and other legitimate strategies the candidate identifies, within Board-approved risk limits.
  • Counterparty and execution venues - identify, negotiate and onboard the exchanges, prime brokers and OTC counterparties needed for hedging and inventory management.
  • Risk management framework - in partnership with the Risk function, design, implement and operate the risk limits, monitoring and escalation framework for the book.
  • Stock Lending cooperation - coordinate securities inventory, financing and revenue with the existing Stock Lending team, avoiding disruption to that revenue line.
  • Desk cooperation - work with the Options Trading and Fixed Income & Structured Products desks to ensure complementary principal books and shared risk visibility.
  • Operations and platform - cooperate with Operations, Treasury and Technology on workflow, financing, settlement and platform tooling.
  • Conflict and best execution - manage conflicts of interest, best-execution arrangements and product-governance compliance across the relevant booking entities (MiFID II, FCA, SFC and equivalent regimes).
  • Team build-out - size, composition and sequencing at the hire's discretion as the book grows, consistent with the approved business plan.

Experience

  • 10-20 years' experience in principal trading, flow trading, market making or running a multi-asset trading book at a sell-side firm, broker-dealer, prime broker or proprietary trading house, with documented P&L through different market regimes.
  • Multi-asset risk management - strong background across delta, gamma, vega, correlation, liquidity and counterparty risk.
  • Regulatory expertise - hands-on familiarity with the MiFID II Systematic Internaliser regime, best-execution obligations and conflict-of-interest management in a regulated broker-dealer environment is essential.
  • Securities financing - familiarity with securities financing and stock lending operations is a strong plus.
  • Cooperative profile - non-negotiable; the role only succeeds by working closely with the existing Stock Lending team and the new trading desks, and a track record of operating effectively across desks and functions is expected.
  • Fluent English - mandatory.
  • Commercial and disciplined - technical, 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.