Systematic Portfolio Manager
Client of Durlston Partners
Employer Active
Posted on 6 Apr
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Experience
5 - 7 Years
Job Location
Education
Bachelor of Commerce(Commerce), Master of Science, Ph.D/Doctorate
Nationality
Any Nationality
Gender
Not Mentioned
Vacancy
1 Vacancy
Job Description
Roles & Responsibilities
Major Buy Side client look for an established Portfolio Manager/Trader with a distinguished 5+ year track record in the financial markets. This role is designed for a seasoned professional who has demonstrated expertise in designing, developing, and managing highly profitable systematic trading strategies across diverse markets, including US Cash Treasury and Futures, Foreign Exchange, Equities, and Commodities.
The ideal candidate is a strategic thinker who has excelled in trading strategy design and research. Proficiency in high-level programming languages such as C++ and Python is essential. The role demands collaboration with our technology and trading experts to implement strategies effectively in production environments.
Key Contributions & Experience:
- Proven track record of at least 5 years in portfolio management and trading, with a focus on systematic strategies in various asset classes.
- Demonstrated ability to maintain and improve a 3+ Sharpe Ratio, ensuring fully automated, high-frequency to mid-frequency trading strategies, including overnight positions.
- Experience in managing strategies for CME Futures (all asset classes) and Cash US Treasuries.
Desired Candidate Profile
Key Contributions & Experience:
- Proven track record of at least 5 years in portfolio management and trading, with a focus on systematic strategies in various asset classes.
- Demonstrated ability to maintain and improve a 3+ Sharpe Ratio, ensuring fully automated, high-frequency to mid-frequency trading strategies, including overnight positions.
- Experience in managing strategies for CME Futures (all asset classes) and Cash US Treasuries.
Qualifications:
- Educational Background: Bachelor s, Master s, or Ph.D. in Engineering, Mathematics, Physics, Statistics, or Computer Science.
- Seniority: Minimum of 5 years of experience in a relevant role, preferably on a proprietary, quantitative, or electronic trading desk (investment bank, hedge fund, etc.).
- Skills:
In-depth experience in alpha generation and portfolio management.
Advanced programming skills in C++ and Python. Familiarity with Linux and code repository management is a plus.
A driven, self-motivated personality with a creative approach to problem-solving.
Strong communication skills, capable of presenting complex strategies in a clear and confident manner.
Company Industry
Keywords
- Systematic Portfolio Manager
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Client of Durlston Partners
https://durlstonpartners.com/jobs/systematic-portfolio-manager/