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Cross Asset Volatilty Portfolio Manager - Rates, FX, Credit, Mortgages, Equity Indicies. $$$$

Paragon Executive
Closing date
24 Jun 2021

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Job Details

We would like to talk with candidates who have a strong demonstrable track record and have delivered strong personal Pnl of circa $10m+ over the last 3/4 years.

ideally from working within a Hedge Fund, or a top tier Investment Bank, but most have personal track record and not desk P&L.

Our client has excellent infrastructure and is very active in Credit Index and Equity Index options. This is an outstanding chance to join one of the world's top hedge funds and dramatically increase your earning potential.

Our client has one of the best performances and award structures globally, to include strong sign on and guaranteed bonuses and is also well regarded for its strong training and collaborative team-based culture.

  • Minimum of 3-5 years of work experience as a Portfolio Manager/ Trader for an established Hedge Fund, Investment Bank or Market Maker.
  • Strong track record, generating >$10m P&L with a Sharpe of 1.5 +

To discuss these unique opportunities further and to obtain a full job specification, please contact our retained executive search consultants.

"You're the specialist in your sector, Were the specialist in recruitment"
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