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