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Portfolio Manager - Equity Vol

JR United Kingdom

Brighton

On-site

GBP 70,000 - 100,000

Full time

2 days ago
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Job summary

A global trading firm seeks a Portfolio Manager specialized in Equity Volatility in Brighton. The candidate will leverage advanced risk management and independent trading skills to enhance performance in volatile markets. This role provides an exceptional opportunity within a dynamic team environment committed to innovative trading technology.

Benefits

Company-paid medical benefits
Sign-on and formula-based bonuses

Qualifications

  • Multiple years achieving strong risk-adjusted returns.
  • Outstanding communication skills regarding methodologies.
  • Understanding of liquidity conditions affecting trading products.

Responsibilities

  • Manage positions in Equity Options utilizing volatility strategies.
  • Mentor junior traders in trading strategies and methodologies.
  • Communicate risks and strategies with management teams.

Skills

Communication
Risk Management
Quantitative Analysis
Independent Trading
Time Management

Job description

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Portfolio Manager - Equity Vol, brighton

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Client:
Location:

brighton, United Kingdom

Job Category:

Other

-

EU work permit required:

Yes

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Job Views:

1

Posted:

06.06.2025

Expiry Date:

21.07.2025

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Job Description:

Portfolio Manager - Equity Volatility

A global $30bn+ trading firm are seeking an Equity Vol PM to join a rapidly growing team. They have built one of the world’s most sophisticated computing environments for research and development, bringing a scientific approach to trading financial products.

Responsibilities:

  • Taking positions in Equity Options markets using volatility strategies
  • Communicating with Risk & Trading management teams about strategies and reasons for taking certain risks
  • Keeping track of trade execution costs & market impact and reporting this back
  • Supporting analytics and back-testing framework for your trades by working with Quant and Data teams
  • Mentoring junior traders

Requirements:

  • Multiple years of strong risk-adjusted returns in a variety of market conditions
  • Strong communication abilities in explaining your methodologies
  • Ability to make profits independently without reliance on client flow
  • Outstanding risk management capabilities during periods of market volatility
  • In-depth understanding of how liquidity conditions impact the products you specialize in trading

This is an amazing opportunity to join a leading trading company and generate PnL. This firm has cultivated a community of self-starters who are motivated by the excitement of being at the forefront of trading technology. A sign-on and formula-based bonus may be provided as part of the total compensation package, in addition to company-paid medical/other benefits. Apply now to learn more.

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