A leading financial services firm seeks a Portfolio Manager with a strong background in systematic trading and a track record of alpha generation. Responsibilities include owning P&L and developing quantitative strategies in various markets including Equities and FX. The position offers a competitive compensation package ranging from $300K to $5M+, with opportunities for both on-site in London and remote work. This is a chance to elevate your career in a high-stakes environment. #J-18808-Ljbffr
Contact Detail:
Fionics Recruiting Team