A top performing systematic trading firm in NYC is seeking an experienced Portfolio Manager with a history of generating exceptional PnL numbers to join their growing team. As PM, you'll have the opportunity to manage substantial amounts of capital, collaborate with senior stakeholders, and have a tangible impact on the overall trajectory of the firm.
Responsibilities:
- Research, develop, and implement high capacity, fully automated trading strategies
- Manage portfolio risk through the development of risk management systems
- Collaborate frequently with the quantitative research & development teams
Requirements:
- 3 years + experience managing a portfolio at institutional levels
- A proven track record of generating high sharpe strategies
- Strong product knowledge (this firm is building out across asset classes)
- Exceptional mathematical & intellectual skills
- Python, C++ preferred
This firm is offering unbeatable compensation packages and is looking to hire immediately!
Apply now!