Senior Portfolio Manager - Volatility Trading

S.R Investment Partners
London, United Kingdom
£ Competitive + Bonus
04 Oct 2022
23 Oct 2022
Job Function
Hedge Funds
Industry Sector
Finance - General
Employment Type
Full Time
Responsibilities will include:

New idea generation, new idea sourcing, and trade execution, as well as position management and profit/loss responsibility. This is a hands-on position. We are looking for traders who will take different positions on the parameters depending on price.

The focus will be primarily on options on US/EU government debt and interest rates, to be managed from a relative value perspective OR on the relative value of options on US/EU listed stocks and equity volatility dispersion strategies.

Individuals should have strong product knowledge and an individual profit/loss track record of least 5 years+, most recently in trading exclusively volatility (RV) products. Additional responsibilities include cultivating broker relationships as well as monitoring, filtering, and efficiently communicating relevant market information to the broader investment team.

Quantitative or trading background with a live track record with a traded strategy with consistent monthly returns. including all asset classes are of interest.

They will have the responsibility of trading strategies that can range from options market making, futures market making, systematic, discretionary, or something we have not thought of.

Key Responsibilities

The successful applicant will be responsible for:

• Trading a portfolio

• Totally responsible for the revenue generation on your portfolio

• Be expected to manage the risk profile within the limits provided by the firm's Risk department

• Alpha Capture

• Interest Rates or Equities

• Volatility Trading

• Alternative data for alpha generation

• Independent

• Developing a systematic trading strategy with the support of quantitative analysts and developers.

• Managing own capital in the Global Relative Value fund

• Develop systematic strategies that exploit statistically-based predictive signals associated with various market inefficiencies.

• Manage own quantitative investment portfolio

The successful applicant will have:

• Five or more years of trading experience

• Proven track record of profitability

• Strong work ethic with attention to detail

• Disciplined trading style

• Ability to work under pressure

• Ability to work on multiple products

• Work well as part of a team.

• Strong understanding of risk in your products

• Have a live track record

• Mid or High-frequency Strategy

• Have strategies trading global equities, futures

 Location: London

Package: £ Competitive + Bonus


If you're interested in this opportunity, 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 or for more details

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