Equity Volatility Sub-PM - European Coverage

Selby Jennings

London

On-site

GBP 222,000 - 355,000

Full time

14 days+

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Benefits offered by this job

Direct mentorship from a top-tier Senior PM
Competitive and transparent PnL-based compensation
Access to world-class infrastructure and support
Prestigious hedge fund

Job summary

A prestigious financial institution in London is seeking a high-calibre Equity Volatility Sub-Portfolio Manager to manage a European-focused equity vol strategy. Candidates should have a strong track record in equity volatility and be ready for performance-based upside. This role offers competitive compensation and direct mentorship from a leading Senior PM, providing an exceptional opportunity in the financial sector.

Qualifications

  • 3+ year track record managing European equity vol strategies with a Sharpe ratio of 1.5+.
  • Deep understanding of European equity markets and volatility dynamics.
  • Proven ability to operate autonomously in a high-performance environment.

Responsibilities

  • Build and manage a European-focused equity vol strategy.
  • Leverage expertise in single stock or index volatility.
  • Participate in performance-based upside with day-one capital allocation.

Skills

Track record in equity vol strategies
Understanding of European equity markets
Strong risk management discipline

Job description

Equity Volatility Sub-PM - European Coverage
Equity Volatility Sub-PM - European Coverage

4 days ago Be among the first 25 applicants

This range is provided by Selby Jennings. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

Exclusive Opportunity: Equity Volatility Sub-PM - European Coverage | $10bn+ Multi-Strat Hedge Fund | London

Our client, a globally renowned $10bn+ multi-strategy hedge fund, is seeking a high-calibre European focused, Equity Volatility Sub-Portfolio Manager to join their established London office. This is a rare opportunity to work directly under a leading Senior PM with a dominant footprint in US equity vol, who is now strategically expanding into European single names or index volatility.

The Role:

You will be responsible for building and managing a European-focused equity vol strategy, leveraging your expertise in either single stock or index volatility. The role offers day-one capital allocation and a negotiated PnL cut, providing a clear path to performance-based upside.

  • 3+ year track record managing European equity vol strategies (single names or index) with a Sharpe ratio of 1.5+
  • Deep understanding of European equity markets and volatility dynamics
  • Proven ability to operate autonomously within a collaborative, high-performance environment
  • Strong risk management discipline and a systematic approach to alpha generation

What's on Offer:

  • Direct mentorship from a top-tier Senior PM
  • Competitive and transparent PnL-based compensation
  • Access to world-class infrastructure and support
  • A seat at one of the most prestigious hedge funds globally
Seniority level
  • Seniority level
    Mid-Senior level
Employment type
  • Employment type
    Full-time
Job function
  • Job function
    Finance
  • Industries
    Investment Management

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