Portfolio Manager OOJ - 34915
Job Description
A Portfolio Manager, or Asset Manager, analyzes financial information, investment opportunities, and economic forecasts to manage and optimize investments, ensuring clients' financial goals are met through strategic asset allocation and risk management.
Portfolio Manager
Pay Rate: $150 000-200 000
The Portfolio Manager will join a purely systematic multi-PM platform. This is an ideal opportunity for portfolio managers looking for a home that will empower them to build their business, team, and strategy while being supported by state-of-the-art infrastructure and a robust, thoughtful risk management framework designed specifically for quantitative investing.
Qualifications
Experience as either a senior researcher or PM working on quantitative strategies in equities and/or futures.
- Undergraduate degree from a leading university in a quantitative or scientific field.
- Strong programming skills to support strategy research and portfolio implementation.
- Passion for identifying and extracting inefficiencies across markets.
- Self-motivated and capable of working autonomously.
Preferred Skills, Qualifications, and Experience:
- Prior track record of independently trading a systematic book and managing portfolio risk.
- Advanced degree in a STEM-related field.
Why is This a Great Opportunity
leading systematic quantitative investment company that operates globally. We are a team of researchers, engineers, and financial industry professionals using statistical models to generate superior investment returns. Investment teams are supported by the firm’s proprietary, state-of-the-art technology and data platform. We are passionate about implementing scientific and mathematical methods to explore and solve problems in the global financial markets.
OOJ - 34915
- Locations
- New York
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