My client is a rapid growing, fully systematic hedge fund based in London. With a big scope for expansion, my client has a proven track record of delivering consistent performances and is constantly seeking new opportunities for growth. This is an exciting opportunity to join a dynamic and growing team made up of high caliber quantitative researchers and technologists who are experts in their fields and are committed to delivering exceptional results. If you are an experienced Systematic Macro Portfolio Manager (or Senior Quant) with years of experience in commodity markets, we encourage you to apply for this role.
Key responsibilities:
Develop and implement systematic macro trading strategies for commodity markets
Continuously monitor and analyze market trends and economic indicators to identify opportunities for profitable trades
Collaborate with the research team to identify and evaluate new trading ideas
Oversee the day-to-day management of the portfolio and make decisions on trade execution
Stay up to date with industry developments and trends to ensure the portfolio is well-positioned for success
Qualifications:
Master's and up degree in a quantitative field
Proven track record of successfully running systematic macro trading strategies
5+ years of experience in managing Systematic Macro portfolios (buy side experience preferred)
Strong understanding of commodity markets, including futures, options, and swaps, and global FX markets
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