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Take Profit Trader Jobs (NOW HIRING)

Description Our Quantitative Traders are passionate about improving the global economy by ... profit sharing programs in the industry because we believe our employees should be able to take ...

Description We are seeking an experienced Mortgage Trader to join our trading team. You will be ... profit sharing programs in the industry because we believe our employees should be able to take ...

Senior Mortgage Trader

Chicago, IL · On-site

$120K/yr

Description We are seeking an experienced Mortgage Trader to join our trading team. You will be ... profit sharing programs in the industry because we believe our employees should be able to take ...

Profit Center Manager

New York, NY · On-site

$90K - $110K/yr

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

Profit Center Manager

Albuquerque, NM · On-site

$80K - $90K/yr

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

New

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

Our PCs conduct business under unique trade names and offer a customized business approach ... Be able to interpret financial report data to determine the success/failure of plans and to take ...

New

DV Trading is seeking an experienced, high-performing trader to deploy and scale profitable ... Take full ownership of risk, positioning, and P&L * Leverage DV's technology, infrastructure, and ...

Description Our Quantitative Traders are passionate about improving the global economy by ... profit-sharing programs in the industry because we believe our employees should be able to take ...

DV Trading is seeking an experienced, high-performing trader to deploy and scale profitable ... Take full ownership of risk, positioning, and P&L * Leverage DV's technology, infrastructure, and ...

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$96.8K

$269.5K

How much do take profit trader jobs pay per year?

As of Aug 15, 2026, the average yearly pay for take profit 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 a take profit trader?

A Take Profit Trader is a financial trader who focuses on executing trades with predefined profit targets. Their role involves analyzing market trends, setting strategic exit points, and managing risk to maximize returns. They often use technical analysis, trading algorithms, and discipline to ensure profitable trades while minimizing losses. This role requires strong decision-making skills and knowledge of market dynamics to capitalize on short- or long-term opportunities.

What are the key skills and qualifications needed to thrive in the take profit trader position, and why are they important?

To thrive as a Take Profit Trader, you need a solid understanding of financial markets, technical analysis, and risk management, often supported by a degree in finance or economics. Expertise in trading platforms such as MetaTrader, Bloomberg Terminal, or proprietary brokerage systems, along with relevant certifications like CFA or FINRA, is highly advantageous. Strong analytical skills, disciplined decision-making, and the ability to stay calm under pressure are essential soft skills for this role. These abilities are crucial for consistently making informed, timely trades and optimizing profit while minimizing risk within fast-paced trading environments.

What are some challenges take profit traders commonly face in their day-to-day responsibilities?

Take Profit Traders often encounter challenges such as rapidly changing market conditions that require quick, data-driven decision-making to secure optimal exit points on trades. They must balance risk and reward while adhering to pre-set trading strategies, which can be demanding when volatility is high. Additionally, maintaining focus and discipline in high-pressure situations is essential to avoid emotional trading mistakes. Collaboration with other traders, analysts, and risk managers is also common, ensuring strategies align with broader organizational goals.

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Infographic showing various Take Profit Trader job openings in the United States as of August 2026, with employment types broken down into 80% Full Time, 13% Part Time, and 7% Temporary. Highlights an 100% In-person job distribution, with an average salary of $96,774 per year, or $46.5 per hour.

XVA Trader, Vice President

Crédit Agricole SA

Manhattan, NY • On-site

$200 - $250/hr

Other

Posted 10 days ago


Job description

Reporting globally to the Head of Scarce Resources & Trading (SRT) and locally to Head of trading (GMT) and within Global Market Division, in charge of SRT in the Americas assuming the following roles.

Key Responsibilities
  • Pre-trade pricing of XVAs on the GMD perimeter
  • Post-trade analysis and ensuring consistency for the Profitability Analysis computations
  • Collaboration with Structuring and other functions for post-trade optimisation
  • Execute transactions in accordance with established risk management procedures and risk parameters by delegation to head of trading XVA and Risk Management (TRM)
  • Credit analysis link to sensitive or significant transaction
  • Participate to trading strategy and relate these to market opportunities in relation with the head of trading XVA and Risk Management (TRM)
  • Execute Scarce Resources optimization strategy
  • Act as primary SRT representative in the region, leading discussions with business lines to drive initiatives regarding pricing methodologies, optimisations and strategic deal flow presentations
XVA Specific
  • Ensure actively the three components of the Mandate: pricing of XVAs, risk management of XVAs and optimisation of Scarce Resources
  • Proactively engage and advise Sales, Trading, and Coverage teams, translating complex pricing and balance sheet impacts into actionable business support. Support client discussions via Sales when necessary
  • Presenting and participating in external client meetings and conferences on XVA topics
  • Look for and collect feedback on XVA pricing to benefit the team’s knowledge
  • Participate actively in methodology improvements concerning XVAs and Regulatory topics: development of new models, parameterisations, quantitative studies
  • Ensure XVAs are aligned with market standards and regulatory constraints, and provide continuous improvements to the XVA setup in order to maintain an exhaustive and comprehensive pricing framework. Representing the bank in industry workgroups
  • Participate in the continued improvement of the XVA ecosystem and pricing strategies
  • Ensure that the reporting and analysis performed are maintained and produced in an accurate and timely manner
  • Provide advice and opinion on credit for any specific and large transaction reported to top management
  • Participate in product design of XVA optimization strategy
  • Mandate:
  • Ensure strict compliance with the mandate attributed to the desk
  • Sign the mandate in the internal tool according to the procedure currently in place with the Bank
  • Under this mandate, the generation of NBI is not part of the assigned objectives. The assigned objectives are defined around efficient management and in line with the mandate of pricing, risk management and optimization of scarce resources
Salary Range

$200k-$250k

Supplementary Information Strategy and Business Planning
  • Be aware of economic and financial data likely to affect the market and keep updated on market changes
  • Take views on future market developments and advise the sales team accordingly
  • Provide product pricing for both new products as well as specific client transactions
  • Pricing must ensure that the Bank is adequately compensated for the level of principal risk and the amount of balance sheet it dedicates to specific transactions
  • Keep abreast of the markets and upcoming updates in regulations by reading the financial press and available economic research
  • Input all executed trades directly into the Front Office Systems in a timely manner
  • Provide technical support and direction to colleagues and internal stakeholders
Managing and Reporting
  • Report to NY local Head of trading
  • Participate to the cross knowledge and the SRT Academy
  • Report any specific transaction
Risk & Controls
  • In conjunction with the Head of TRM and RAM (Risk Architecture and Models), establish overall risk parameters
  • Foster a culture of compliance and adherence with regard to position and risk limits
Geographical Area

America, United States Of America

Education

Degree, preferably in a Mathematical / Scientific area, or A-levels followed by appropriate market relevant working experience.

Level of Minimal Experience

6-10 years

Experience

Experience Essential:

  • Experience in financial products related trading/ risk management activities
  • Strong credit knowledge
  • Strong knowledge on XVA
  • Experience in pricing/trading and risk managing of XVA trading book, where applicable
Certifications
  • CP8/CP6
  • Team oriented
  • Excellent communication skills and able to coordinate effectively with other Senior Managers, Sales, Structurers and Quants
  • Ability to think quickly, make decisions using good judgement and prioritise in busy trading situations
  • Ability to remain calm under pressure
Skills & Knowledge Requirements
  • IT literate
  • Thorough knowledge of financial derivatives including market liquidity (ability to enter or exit a position) and volatility (magnitude / speed of price change), pricing and trading/hedging strategies
  • Strong numerical, analytical and spreadsheet skills
Legal and Regulatory Responsibilities
  • Comply with all applicable legal, regulatory and internal Compliance requirements, including, but not limited to, the London Compliance manual and the Financial Crime Policy. Complete any mandatory training in line with legal, regulatory and internal Compliance requirements
  • Continuously develop expertise to ensure to be fully qualified to undertake the role. Complete all mandatory training as required to attain and maintain competence
  • Refrain from taking any steps which could lead to the removal of certification of fitness and propriety to perform the role
  • Undertake all necessary steps to satisfy the annual certification process
  • Comply with all applicable conduct rules as prescribed by the relevant regulator
EEO Statement

All our jobs are open to people with disabilities. We welcome applications from candidates of all backgrounds and experiences.

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