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Mid-frequency portfolio manager - london / dubai / remote- confidential leading trading firm- r[...]

London
Oxford Knight
Portfolio manager
€200,000 a year
Posted: 18 June
Offer description

Mid-Frequency Portfolio Manager - London / Dubai / Remote- Confidential Leading Trading Firm- Remote

Oxford Knight London, United Kingdom Apply now Posted 1 day ago Remote Job Permanent Competitive


Mid-Frequency Portfolio Manager - London / Dubai / Remote- Confidential Leading Trading Firm- Remote

Oxford Knight London, United Kingdom Apply now

London / Dubai / Remote

Are you looking to elevate your trading career with a dynamic and innovative trading firm that sits at the forefront of financial technology? My client is seeking a Portfolio Manager specializing in Mid-Frequency Trading to join their elite team of market professionals.

About Them:

They are a global trading firm that uses cutting-edge quantitative research, advanced proprietary technology, and sophisticated strategies to actively trade in financial markets. Their mission is to exploit market inefficiencies through data-driven decision-making, advanced algorithmic trading, and rigorous risk management. My client cultivates a collaborative and forward-thinking environment, continually striving to stay ahead of the curve in an ever-changing market.

What You'll Do:

As a Mid-Frequency Portfolio Manager, you will have a critical role in managing and optimizing proprietary trading strategies across global markets. You'll be responsible for developing, refining, and executing mid-frequency market-neutral strategies. Working closely with quantitative research and development teams, you'll contribute to model enhancements and drive trading performance. Key responsibilities include:

* Develop and manage market-neutral trading strategies with mid-frequency time horizons.
* Continuously monitor portfolio performance and adapt strategies based on market dynamics.
* Collaborate with quantitative researchers and software engineers to enhance trading models and technology.
* Manage portfolio risks and ensure alignment with established risk parameters and drawdown limits.
* Explore and assess new markets and asset classes to expand trading strategies.
* Optimize execution processes to improve efficiency and profitability.

Requirements:
* Sharpe Ratio of 2 or higher: A proven ability to generate significant alpha with strong risk-adjusted returns.
* Strong academic credentials: A degree in quantitative finance, mathematics, computer science, engineering, or a related field from a top-tier institution.
* Track record of success: Demonstrated experience in creating and managing profitable mid-frequency trading strategies.
* Proficiency in programming: Strong coding skills (Python, C++, or similar languages) for quantitative research and algorithm development.
* Experience in systematic trading: Expertise in market-neutral, algorithmic trading strategies across asset classes such as equities or futures.
* Risk management expertise: Solid understanding of risk metrics, portfolio management, and capital allocation strategies.


Whilst we carefully review all applications, to all jobs, due to the high volume of applications we receive it is not possible to respond to those who have not been successful.

Contact
If you think you are a good fit for the role and would like further information, please contact:

Dominic Copsey
dominic.copsey@oxfordknight.co.uk
+44 (0) 203 475 7193
linkedin.com/in/dom-copsey-586478143/


Welcome to Oxford Knight!We are dedicated International recruiters. We assist leading technologists and finance professionals into high-end roles wo...


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