Senior Portfolio Manager – Credit

London, South East England

Key Responsibilities

The successful applicant will be responsible for:

  • Trading a portfolio
  • Statistical Arbitrage
  • 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
  • Mid or High-Frequency Trading Strategies
  • 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

Location: London + Flexible in other countries

Salary: £ 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) or i for more details

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