Location: Flexible
Position Overview: We are seeking an experienced Quant Trader or Portfolio Manager with a proven track record in running algorithmic and AI-driven trading strategies. The ideal candidate will have at least 5 years of successful experience in developing and executing systematic trading strategies across global markets. We are looking to commit AUM to the chosen trading strategy, offering a percentage of the management fee and net profit in return.
Key Responsibilities:
* Develop, implement, and optimize algorithmic trading strategies across multiple asset classes.
* Manage and execute trades based on AI-driven models, ensuring effective risk management and optimization of returns.
* Continuously research and refine models, back-testing strategies, and evaluating performance in live markets.
* Collaborate with internal teams to align trading strategies with broader portfolio goals and risk parameters.
* Provide detailed reporting and analysis of strategy performance, including risk metrics and profitability.
* Maintain and enhance proprietary trading infrastructure, including AI models and algorithmic frameworks.
* Stay updated on the latest trends and technologies in quantitative finance, algorithmic trading, and AI applications.
Qualifications:
* Minimum of 5 years of experience in running algorithmic and AI-based trading strategies with a strong, verifiable performance track record.
* Expertise in quantitative analysis, statistics, and financial modeling.
* Proficiency in programming languages such as Python, R, or C++.
* In-depth knowledge of market microstructure, trading algorithms, and high-frequency trading (HFT).
* Strong analytical skills and experience with back-testing and simulation frameworks.
* Excellent risk management and portfolio optimization skills.
* Ability to work independently and in a collaborative environment.
Preferred Experience:
* Experience managing significant AUM using algorithmic strategies.
* Knowledge of various asset classes, including equities, fixed income, commodities, and FX.
* Proven ability to innovate and adapt strategies based on changing market conditions.
Compensation Structure:
* A percentage of management fees based on AUM committed.
* A percentage of net profit based on performance.
What We Offer:
* The opportunity to scale your trading strategies with committed AUM.
* A collaborative environment with the resources and support to optimize performance.
* Competitive and performance-based compensation structure.
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