8 часов назад
Associate Portfolio Manager
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Associate Portfolio Manager (Systematic Trading): Researching, developing, and implementing systematic strategies across listed futures, FX, options, and equities with an accent on strategy research, implementation, and portfolio risk management. Focus on developing strategies from idea to deployment, analysing large time-series datasets, and optimising risk/reward using strong programming skills in Python or Julia.
Location: London, United Kingdom
Company
is a successful trading firm developing systematic strategies across futures, options, and equities.
What you will do
- Research, develop, and implement systematic strategies in listed instruments such as futures and FX.
- Own the full lifecycle of trade and strategy ideas, from initial research through implementation.
- Monitor and manage portfolio risk to optimise the risk/reward profile.
- Collaborate with quantitative portfolio managers on strategy development.
- Develop, test, and deploy new trading ideas in a flexible research and engineering environment.
Requirements
- 3+ years of experience as a portfolio manager or 4–5 years as an assistant portfolio manager.
- Realised Sharpe ratio above 2.5 and a demonstrated strategy track record.
- Deep understanding of the systematic inefficiency targeted by the strategy.
- Strong coding and research skills, with experience developing strategies from idea to implementation.
- Master’s or PhD in a scientific subject.
- Experience working with large time-series datasets and excellent programming skills in Python or Julia.
Culture & Benefits
- Flexible research environment for developing, testing, and deploying new ideas.
- Strong engineering environment where technology is central to trading success.
- Collaborative, friendly, and informal culture.
- Support and autonomy to pursue professional ambitions.
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