Remote Quant Trader – Multi-Asset (Atlanta-area)

Anemoi Predictive Technology LLC.

Atlanta, Northern (GA, KY)

Hybrid

USD 190,000 - 285,000

Full time

14 days+
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Benefits offered by this job

Medical plan
Dental plan
Vision plan
401(k) with match
Flexible PTO
Parental leave
Learning budget
Home-office support
Bonus & equity

Job summary

Anemoi Predictive Technology LLC. seeks a fully remote Quantitative Trader — Multi-Asset for the Atlanta, GA area to trade and evaluate systematic strategies across liquid equities, ETFs, futures, and FX.

The role requires residency in the Atlanta area and coordination of pre-market readiness with full-session decisions in Eastern Time. The successful candidate will manage live cross-asset exposure, instrument-specific risk, funding, rolls, and execution quality while collaborating with

Qualifications

  • Four or more years of systematic multi-asset trading experience.
  • Strong derivatives, statistics, and market mechanics knowledge.
  • Proficiency in Python or comparable quantitative programming.

Responsibilities

  • Manage live exposures and instrument-specific risk limits
  • Review execution quality, funding, rolls, and calendar effects
  • Research cross-asset relationships without forcing unstable correlations
  • Lead incident review and operating-control improvements
  • Own cross-asset exposure, funding and roll events, execution quality, and venue-specific risk during Eastern Time coordination of pre-market readiness and full-session operating decisions.

Skills

Systematic multi-asset trading
Derivatives knowledge
Statistics knowledge
Python programming

Tools

Python

Job description

Anemoi Predictive Technology LLC. seeks a fully remote Quantitative Trader — Multi-Asset for the Atlanta, GA area to trade and evaluate systematic strategies across liquid equities, ETFs, futures, and FX.

The role requires residency in the Atlanta area and coordination of pre-market readiness with full-session decisions in Eastern Time. The successful candidate will manage live cross-asset exposure, instrument-specific risk, funding, rolls, and execution quality while collaborating with

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