Full-Time

Junior Natural Gas Option Trader

European Power, Gas and Emissions Trading Desk

Posted on 5/30/2026

Citi

Citi

10,001+ employees

Global financial services including banking, investment

No salary listed

London, UK

In Person

Category
Quantitative Finance
Finance & Banking
Required Skills
Bloomberg
Python
R
MATLAB
Risk Management
C/C++
VBA
Data Analysis
Excel/Numbers/Sheets
Requirements
  • Bachelor's or Master's degree in a highly quantitative field such as Finance, Economics, Mathematics, Statistics, Engineering, Computer Science, or a related discipline
  • Experience in options trading and/or commodities is a plus but not a must
  • Analytical skills including strong analytical and problem-solving abilities with a solid understanding of financial markets and derivatives concepts
  • Proven quantitative skills including proficiency in statistics, probability, and numerical methods
  • Strong proficiency in programming languages commonly used in quantitative finance (e.g., Python, R, MATLAB, C++)
  • Strong Excel skills including VBA for data analysis and modelling
  • Familiarity with market data platforms (e.g., Bloomberg, Refinitiv) is a plus
  • Demonstrated passion for financial markets, particularly energy commodities and options trading; prior exposure through internships, personal trading, or academic projects is highly valued
  • Excellent verbal and written communication skills
  • High level of self-motivation, attention to detail, and ability to perform under pressure in a fast-paced environment
  • Ability to work collaboratively within a team-oriented environment
  • Eagerness to learn new concepts and adapt to evolving market conditions and trading strategies
  • This role is a Certified Role under the Financial Conduct Authority and Prudential Regulation Authority Certification Regime; candidates will be assessed for Fit and Proper status through interviews, self-disclosures, background checks and other screening
Responsibilities
  • Market Monitoring: Continuously monitor natural gas and related energy markets, including price movements, news flow, regulatory updates, and supply/demand fundamentals
  • Data Analysis: Assist senior traders in analysing market data, identifying trading opportunities, and assessing the impact of various factors on options pricing and volatility
  • Quantitative Support: Support the development, testing, and implementation of quantitative models for options pricing, risk management, and strategy back-testing
  • Risk Management: Learn and apply desk risk management policies and procedures, including monitoring positions, calculating P&L, and understanding various risk metrics (e.g.,Greeks). Work in collaboration with Technology and Quantitative Analysis teams to enhance risk transparency and report automation
  • Trade Execution Support: Execute orders under supervision and ensure accurate booking and settlement of trades
  • Reporting: Generate regularrisk,market and performance reports for internal stakeholders
  • Strategy Development: Contribute to brainstorming sessions for new trading strategies, portfolio optimisationand improvements to existing models
  • Technology Utilisation: Become proficient in using proprietary trading platforms, risk management infrastructure, market data terminals, and analytical tools
  • Compliance: Ensure all trading activities adhere to internal policies, regulatory requirements, and ethical standards
  • Continuous Learning: Actively seek to expand knowledge of energy markets, derivatives products, and trading strategies
Desired Qualifications
  • Experience in options trading and/or commodities is a plus but not a must
  • Familiarity with market data platforms (e.g., Bloomberg, Refinitiv) is a plus
  • Prior exposure through internships, personal trading, or academic projects is highly valued

Citi provides financial services including consumer banking, credit, investment banking, and wealth management to individuals, corporations, and governments. The company operates by earning interest on loans and collecting fees for managing investments, processing trades, and facilitating cross-border transactions through its digital platforms. Unlike many local banks, Citi maintains a physical and digital presence in over 160 countries, allowing it to serve as a single partner for clients with global financial needs. Its goal is to drive growth and profitability for its clients and shareholders while supporting environmental and social sustainability initiatives.

Company Size

10,001+

Company Stage

IPO

Headquarters

New York City, New York

Founded

1812

Simplify Jobs

Simplify's Take

What believers are saying

  • Flattened management accelerated execution and lifted April revenue to a decade high.
  • Private credit expands fee income across direct lending and co-investment products.
  • Cross-border debt capital markets remains a durable franchise, evidenced by Finnvera mandates.

What critics are saying

  • Private credit exposes Citi to crowded competition and fee compression within 12 months.
  • Sub-investment-grade lending increases default, mark-to-market, and reputational risk in a downturn.
  • Partner-led private credit can disintermediate Citi and shift economics to Apollo or HPS.

What makes Citi unique

  • Jane Fraser cut Citi's management layers from 13 to 8 in 2025.
  • Citi operates in over 160 countries, spanning consumer and institutional banking.
  • Citi is building repeatable private credit distribution through Apollo and HPS partnerships.

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Benefits

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401(k) Retirement Plan

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Paid Holidays

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