At a Glance
- Tasks: Develop and manage systematic trading strategies for CME and EUREX futures.
- Company: Join a cutting-edge proprietary trading firm focused on innovation and efficiency.
- Benefits: Enjoy flexible working options, comprehensive health coverage, and a 401(k) retirement plan.
- Why this job: Make your mark in a fast-paced environment with opportunities for professional growth.
- Qualifications: 3+ years in D1 products with a strong quantitative background and programming skills.
- Other info: Experience a startup culture that empowers you to innovate and shape the future of trading.
The predicted salary is between 43200 - 72000 Β£ per year.
MA Capital US LLC is a proprietary trading firm specializing in systematic and high-performing discretionary strategies across multiple asset classes. We leverage advanced technology, quantitative research, and sophisticated models to capitalize on opportunities in global markets. Our culture is built on innovation, efficiency, and transparency. We are committed to providing liquidity and supporting fair, efficient markets, while ensuring our traders and professionals have flexibility, tools, and continuous learning opportunities to succeed.
We are seeking a skilled Futures Portfolio Manager (PM) to develop and manage fully systematic trading strategies for CME futures, and also EUREX futures. The role is open to HFT and MFT traders. The PM should have a strong quantitative background, a proven track record of profitability, and an ability to operate in a fast-paced, technology-driven trading environment. MA Capital employs individuals with a passion for innovation and solving hard problems.
Key Responsibilities
- Strategy Development: Design and implement fully systematic trading strategies for different types of CME futures and EUREX futures (cash-settled, commodity futures, etc.). Open to top-tier discretionary traders or those transitioning to a systematic approach.
- Portfolio & Risk Management: Oversee intraday and short-term trading strategies, typically closing positions by the end of the day or holding for up to 5 days. Maintain risk exposure within firm parameters.
- Technology & Research: Utilize Python or C++ to build trading strategies, integrate with our infrastructure, and optimize execution.
- Performance Optimization: Continuously analyse and adjust strategies based on market conditions and real-time performance data.
Required Qualifications
- Market Coverage: 3+ years in D1 products focusing initially on CME, ICE and EUREX futures trading from a quantitative proprietary trading firm, hedge fund, family office, and banks. Forex may also be considered.
- Proven Track Record: Demonstrated success in creating and developing profitable trading strategies with strong risk-adjusted returns.
- Programming: Proficient in Python or C++.
- Risk Management: Strong understanding of risk controls and where applicable market microstructure, and regulatory compliance.
- Alpha & Signal Generation: PM should initially generate Alpha from exchange and derived market data.
Why join us?
- Professional Development: Hands-on experience in a startup environment where youβre empowered to innovate and shape the future of trading technology.
- Flexible Working Options: Hybrid schedule and ability to work from our offices in Chicago / New York.
- Startup Environment: Agile and entrepreneurial setup, allowing for flexibility and rapid decision-making.
- Efficient Infrastructure: Proprietary platform for systematic trading with plug-and-play access to major global exchanges. Built for ultra-low latency and fast execution in HFT environments.
- Comprehensive Health Coverage: Includes medical, dental, and vision insurance.
- 401(k) Retirement Plan: Helping you and your family plan for a secure financial future.
Futures Systematic Portfolio Manager employer: MA CAPITAL U.S. LLC
Contact Detail:
MA CAPITAL U.S. LLC Recruiting Team
StudySmarter Expert Advice π€«
We think this is how you could land Futures Systematic Portfolio Manager
β¨Tip Number 1
Network like a pro! Reach out to industry professionals on LinkedIn or attend trading meetups. Building connections can open doors and give you insights into unadvertised opportunities.
β¨Tip Number 2
Show off your skills! Create a portfolio showcasing your trading strategies and results. This is your chance to demonstrate your quantitative prowess and innovative thinking, which are key for a Futures Portfolio Manager.
β¨Tip Number 3
Prepare for interviews by brushing up on your technical knowledge. Be ready to discuss your past trading experiences and how you've used Python or C++ in your strategies. Confidence in your expertise can really set you apart!
β¨Tip Number 4
Donβt forget to apply through our website! Itβs the best way to ensure your application gets noticed. Plus, it shows youβre genuinely interested in being part of our innovative team at MA Capital.
We think you need these skills to ace Futures Systematic Portfolio Manager
Some tips for your application π«‘
Tailor Your CV: Make sure your CV is tailored to highlight your experience with systematic trading strategies and your quantitative background. We want to see how your skills align with the role, so donβt hold back on showcasing your achievements!
Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why youβre passionate about trading and how your previous experiences have prepared you for this role. Let us know what makes you tick and why youβd be a great fit for our team.
Showcase Your Technical Skills: Since weβre all about technology, make sure to highlight your programming skills in Python or C++. If youβve built any trading strategies or tools, mention them! We love seeing practical applications of your skills.
Apply Through Our Website: Donβt forget to apply through our website! Itβs the best way for us to receive your application and ensures youβre considered for the role. Plus, it shows youβre serious about joining our innovative team at MA Capital.
How to prepare for a job interview at MA CAPITAL U.S. LLC
β¨Know Your Numbers
As a Futures Portfolio Manager, youβll need to demonstrate your quantitative prowess. Brush up on your past trading strategies and be ready to discuss specific metrics that showcase your success. Be prepared to explain how youβve generated alpha and managed risk in previous roles.
β¨Showcase Your Tech Skills
Since the role involves programming in Python or C++, make sure you can talk about your experience with these languages. Bring examples of how you've used technology to optimise trading strategies or improve execution. If you have any projects or code snippets, donβt hesitate to share them!
β¨Understand Market Microstructure
Familiarise yourself with market microstructure concepts and how they apply to CME and EUREX futures. Be ready to discuss how youβve navigated different market conditions and what strategies you employed to maintain risk exposure within firm parameters.
β¨Be Ready for Scenario Questions
Expect scenario-based questions that test your problem-solving skills in a fast-paced environment. Think about past challenges youβve faced in trading and how you overcame them. This is your chance to show your innovative thinking and adaptability!