Senior Arbitrage Fund Manager, Mumbai

The Corporate Institute

Hinoba-an

On-site

PHP 2,628,000 - 5,257,000

Full time

6 days ago
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Job summary

The Corporate Institute seeks a seasoned Arbitrage Fund Manager to lead our arbitrage desk at a leading Asset Management Company in Mumbai. You will manage large-scale portfolios, identify mispricings, and execute complex derivative strategies to deliver risk-adjusted returns.

You will collaborate with the quant team, risk committee, and clients to refine models, monitor liquidity, and present performance insights that strengthen alpha generation in Indian markets.

Qualifications

  • 15–25 years of experience managing high-frequency or arbitrage-focused portfolios.
  • Strong quantitative analysis and statistical modeling skills.
  • Excellent communication for diverse stakeholders and cross-functional teams.
  • Postgraduate degree in Finance, Economics, or MBA from a premier institute with knowledge of Indian market microstructure.
  • On-site Mumbai role with ability to perform under pressure in a fast-moving market.

Responsibilities

  • Lead end-to-end management of arbitrage funds in line with mandates and regulations.
  • Develop quantitative trading models to capture mispricing across cash and derivatives.
  • Collaborate with risk management to monitor exposure limits and liquidity constraints.
  • Mentor junior traders and analysts, promoting analytical rigor and technical excellence.
  • Present performance attribution and market outlooks to stakeholders and clients.

Skills

Derivative pricing
Hedging techniques
Arbitrage strategies
Quantitative analysis
Statistical modeling
Communication skills
Leadership
MBA or Finance postgraduate

Education

MBA
Postgraduate degree in Finance/Economics

Job description

The Corporate Institute seeks a seasoned Arbitrage Fund Manager to lead our arbitrage desk at a leading Asset Management Company in Mumbai. You will manage large-scale portfolios, identify mispricings, and execute complex derivative strategies to deliver risk-adjusted returns.

You will collaborate with the quant team, risk committee, and clients to refine models, monitor liquidity, and present performance insights that strengthen alpha generation in Indian markets.

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