Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities
Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities

Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities

Full-Time 72000 - 108000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Join a dynamic team to build trading algorithms and generate high-quality predictive signals.
  • Company: A renowned global hedge fund in London with a close-knit, growth-oriented culture.
  • Benefits: Competitive salary, bonuses, and extensive benefits package; work globally in major financial hubs.
  • Why this job: Great opportunity to learn from reputable leaders and contribute to innovative trading strategies.
  • Qualifications: Masters/Ph.D. in quantitative subjects; strong technical skills in coding and quantitative analysis required.
  • Other info: Ideal for independent alpha generators looking to build their own fund.

The predicted salary is between 72000 - 108000 £ per year.

Job Description

Renowned Global Hedge Fund based in London is looking for a talented Systematic Quantitative Trader / Portfolio Manager or External Alpha Contributors who are strong technically and in quality alpha capture. This is for someone with experience in either Future's, Fixed Income, Credit, Equities, or FX. This position is global (Depending on approval)

WE ARE ALSO LOOKING FOR ALPHA GENERATORS WHO WANT TO BE INDEPENDENT AND WANT TO BUILD THEIR OWN FUND (GLOBAL)

Culture

No politics, a close-knit team with great growth potential. You will work with a great reputable leader and learn tremendously.

Requirements:

  • Build trading algorithms
  • FX, Credit, Futures, Bonds, commodities, experience
  • Create high-quality predictive signals
  • From 10+ PNL
  • leveraging your existing experience, signals, and models
  • Withholding periods from hours to weeks
  • Performance-based contribution where pay-outs depend on the quality and success of the signals provided
  • Proven track record in delivering successful systematic, fundamental or discretionary strategies: creative models with realised Sharpe Ratios > 1.5
  • Fundamentals on how markets are priced
  • Systematic Trading
  • Generating Alpha
  • Strong mathematical skills
  • Development and implementation of models used for pricing and risk management, including PL Explain and capital charge Tools.
  • Development and implementation of models used for pricing and risk management, including PL Explain and capital charge Tools.
  • Supporting desk strategists by providing them with quantitative tools
  • Strong technical skills with experience in a quantitative analysis team (coding C++/C#/python, modeling, systems)
  • Strong communication skills
  • Proactive in the promotion of new ideas
  • working on the trading desk / systematic desk
  • Development and implementation of models used for pricing and risk management

Essential

· Top educational background, Masters/Ph.D. in a quantitative subject (e.g. Maths, Physics, Computer Science)

Location: NYC + Paris + London + Singapore + Japan + Abu Dhabi + China + Swizerland

Salary: £ competitive + Bonus and great amounts of benefits

REFER A FRIEND/ COLLEAGUE

If you're interested in this opportunity, please forward you're CV ASAP. Alternatively, if you would like to know more information or have a confidential discussion please contact Shanaz Rob – call on +44 (0)203 603 4474 emails: shanaz.rob@srinvestmentpartners.com for more details.

Follow for updates: https://www.linkedin.com/company/srinvestmentpartners

Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities employer: SR Investment Partners

Join a renowned global hedge fund in London, where you will thrive in a dynamic and collaborative environment free from office politics. With a strong focus on employee growth, you will have the opportunity to work closely with industry leaders, develop innovative trading algorithms, and contribute to high-quality alpha generation. Enjoy competitive compensation, performance-based bonuses, and a wealth of benefits that make this an exceptional place for talented professionals looking to advance their careers.
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Contact Detail:

SR Investment Partners Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities

✨Tip Number 1

Network with professionals in the hedge fund industry, especially those who specialize in systematic trading. Attend relevant conferences or webinars to meet potential colleagues and learn about the latest trends in FX, Credit, Futures, and Equities.

✨Tip Number 2

Showcase your technical skills by contributing to open-source projects or creating your own trading algorithms. This not only demonstrates your coding abilities but also your passion for systematic trading.

✨Tip Number 3

Stay updated on market trends and developments in quantitative finance. Subscribe to industry publications and follow thought leaders on social media to gain insights that can help you during interviews.

✨Tip Number 4

Prepare to discuss your previous successful strategies and the metrics behind them, such as Sharpe Ratios. Being able to articulate your past performance will set you apart from other candidates.

We think you need these skills to ace Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities

Quantitative Analysis
Algorithm Development
Predictive Modeling
Strong Mathematical Skills
Risk Management
Performance Analysis
Statistical Analysis
Programming (C++, C#, Python)
Systematic Trading Strategies
Alpha Generation
Communication Skills
Creative Problem Solving
Financial Market Knowledge
Data Interpretation
Collaboration with Desk Strategists

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your experience in systematic trading, quantitative analysis, and any relevant programming skills. Emphasize your track record in generating alpha and your educational background in quantitative subjects.

Craft a Compelling Cover Letter: In your cover letter, express your passion for systematic trading and your desire to contribute to the team. Mention specific examples of successful strategies you've implemented and how they align with the company's goals.

Showcase Technical Skills: Clearly outline your technical skills, especially in coding languages like C++, C#, or Python. Provide examples of models you've developed for pricing and risk management, and how they have contributed to past successes.

Highlight Communication Abilities: Since strong communication skills are essential for this role, include examples of how you've effectively collaborated with teams or presented complex ideas in a clear manner. This will demonstrate your fit for the close-knit team culture.

How to prepare for a job interview at SR Investment Partners

✨Showcase Your Technical Skills

Be prepared to discuss your experience with coding languages like C++, C#, and Python. Highlight specific projects where you developed trading algorithms or quantitative models, as this will demonstrate your technical proficiency.

✨Demonstrate Your Alpha Generation Experience

Share examples of how you've successfully generated alpha in previous roles. Discuss the strategies you employed, the predictive signals you created, and the results you achieved, especially focusing on Sharpe Ratios greater than 1.5.

✨Communicate Clearly and Effectively

Strong communication skills are essential for this role. Practice explaining complex quantitative concepts in a clear and concise manner, as you may need to collaborate with desk strategists and other team members.

✨Emphasize Your Educational Background

With a top educational background being essential, be ready to discuss your Master's or Ph.D. in a quantitative subject. Highlight any relevant coursework or research that aligns with systematic trading and risk management.

Systematic Senior Portfolio Manager - FX / Credit / Futures / Equities
SR Investment Partners
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