Enable job alerts via email!

Senior Portfolio Manager - Long Short Equities

London, United Kingdom

London

Hybrid

GBP 80,000 - 150,000

Full time

9 days ago

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

A renowned global hedge fund is seeking a Senior Portfolio Manager for Long Short Equities in London. This role offers the opportunity to build trading algorithms, create predictive signals, and work within a skilled team. With a focus on performance-based contributions, this position challenges skilled candidates to leverage their technical expertise and deliver high impact.

Benefits

Competitive salary
Performance-based bonus and benefits
Significant learning opportunities

Qualifications

  • Experience with Futures, Equities, or FX
  • Ability to generate alpha and manage risk.
  • Experience working on trading or systematic desks.

Responsibilities

  • Build trading algorithms and create predictive signals.
  • Develop and implement models for pricing and risk management.
  • Support desk strategists with quantitative tools.

Skills

Strong mathematical skills
Proactive in promoting new ideas
Strong technical skills in coding

Job description

Senior Portfolio Manager - Long Short Equities
S.R Investment Partners London, United Kingdom Apply now Posted 2 days ago Hybrid Job Permanent competitive
Senior Portfolio Manager - Long Short Equities
S.R Investment Partners London, United Kingdom Apply now

Renowned global hedge fund based in Paris is looking for a talented Systematic Quantitative Trader / Portfolio Manager or External Alpha Contributor who is strong technically and in quality alpha capture. This role is suited for someone with experience in Futures, Equities, FX, or relative-value arbitrage.

Culture

No politics, a close-knit team with great growth potential. You will work with reputable leaders and have significant learning opportunities.

Requirements:

  • Build trading algorithms
  • Experience with Futures, Equities, or FX
  • Create high-quality predictive signals
  • Leverage existing experience, signals, and models
  • Manage withholding periods from hours to weeks
  • Performance-based contributions, with pay-outs depending on signal success
  • Strategies: creative models with realized Sharpe Ratios > 1.5
  • Understanding of market fundamentals and pricing
  • Systematic trading experience
  • Ability to generate alpha
  • Strong mathematical skills
  • Develop and implement models for pricing and risk management, including P&L explanation and capital charge tools
  • Support desk strategists with quantitative tools
  • Strong technical skills in coding (C++, C#, Python), modeling, and systems
  • Proactive in promoting new ideas
  • Experience working on trading or systematic desks

Location: Paris or Singapore

Salary: Competitive + Bonus and benefits

Referrals: If interested, please send your CV ASAP. For confidential discussions, contact Shanaz Rob at +44 (0)203 603 4474 or info@srinvestmentpartners.com.

SR Investment Partners focuses on market-specific solutions for revenue-generating talent in demanding environments, emphasizing integrity, competence, and cooperation to build strong industry partnerships.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.