VP of Capital Markets

The Tidal Financial Group is a leading ETF investment technology platform dedicated to creating, operating, and growing ETFs. We combine expertise and innovative partnership approaches to offer comprehensive, value-generating ETF solutions. 

 

Our platform offers best-in-class strategic guidance, product planning, trust and fund services, legal support, operations support, marketing and research, and sales and distribution services.

About the role

We are seeking a Capital Markets Manager to support our strategic initiatives as well as day-to-day operations and drive capital markets strategy across our ETF platform. This role will serve as a senior liaison to trading counterparties, exchanges, and internal stakeholders, with a mandate to enhance market quality, optimize liquidity, and proactively manage derivatives and trading-related risks. 

The ideal candidate will have a deep understanding of ETF structures, derivatives markets, and regulatory frameworks, coupled with the leadership skills to influence strategy, shape best practices, and ensure excellence in execution across our capital markets functions. 


What you'll do


Strategic Leadership & Market Engagement 

  • Serve as the senior point of contact for authorized participants (APs), market makers (MMs), exchanges, and broker-dealers, fostering high-value relationships to optimize ETF market quality. 
  • Lead capital markets strategy for new ETF launches, aligning trading and liquidity objectives with broader product and distribution goals. 
  • Represent Tidal in industry forums, regulatory discussions, and capital markets initiatives. 

Trading Oversight & Liquidity Optimization 

  • Oversee daily ETF trading activity, creation/redemption processes, and NAV/trading price alignment, driving improvements in spreads, volumes, and premiums/discounts. 
  • Develop and implement strategies to enhance liquidity and efficiency in primary and secondary markets. 

Risk Management & Regulatory Compliance 

  • Support derivatives risk oversight in compliance with SEC Rule 18f-4, including VaR calculations, stress testing, leverage monitoring, and back testing. 
  • Oversee derivatives trade execution, confirmation, collateral management, and counterparty risk monitoring. 
  • Ensure adherence to all applicable ETF, derivatives, and capital markets regulations, and act as a key contact for audits and regulatory inquiries. 

Analytics & Process Excellence 

  • Direct the development of capital markets reporting, analytics, and performance dashboards. 
  • Identify and implement system enhancements to strengthen data integrity, operational controls, and market intelligence. 
  • Leverage advanced financial modeling and risk analytics to inform trading strategies and market-making relationships. 

Qualifications

  • Bachelor’s degree in Finance, Economics, Risk Management, or related field; advanced degree or professional designation (CFA, FRM) preferred. 
  • 7+ years of experience in ETF capital markets, derivatives trading, or related risk/operations leadership roles. 
  • Expert knowledge of derivatives instruments (options, futures, swaps) and their role in ETF investment strategies. 
  • Proven experience with VaR models, stress testing, and advanced risk management frameworks. 
  • Strong understanding of SEC regulations, ETF structures, and investment fund compliance requirements. 
  • Demonstrated success building and maintaining strategic relationships with APs, MMs, and exchanges. 
  • Proficiency in Excel, risk analytics platforms, and market data tools; familiarity with coding or automation tools a plus. 
  • Exceptional organizational, communication, and leadership skills, with the ability to drive cross-functional initiatives. 

We are prioritizing candidates who are located within proximity to Chicago, IL; Milwaukee, WI; New York City, NY; and West Palm Beach, FL.

Trading

Remote (United States)

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