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Permanent

Portfolio Manager

Slough
money-bag £120,000-150,000 per annum
Posted Yesterday

Portfolio Manager – Equity DerivativesQualifications and Experience

Minimum 6 to 7 years of relevant experience in a bank or fund managing risk assets in Derivatives including equity, F/X and volatilityStrong academic achievement with a quantitative background (mathematics, physics, finance, or related sciences)Experience with China markets, understanding of key indexes and listed ADRsProven track record of idea generation, conviction in ideas, and PandL managementRisk management skills, including building models to analyze Greeks (desirable)Experience living and working in Hong Kong is preferredResponsibilities

Manage cross-asset strategies for Greater China, trading global instruments including equity, F/X, credit, and interest rate derivativesConstruct market-neutral trades, generate trading ideas based on macro and price dataCommunicate strategies effectively to Hong Kong team and peersDevelop models to evaluate risk and manage technical teamsPotential for leadership growth within the London officeAdditional Details

Working hours are aligned with US hours from London. The role offers a salary of £120,000 - £150,000 plus performance bonuses. The firm is expanding its London team to execute strategies in US/European time zones, with a focus on cross-asset strategies including FX, commodities, equities, fixed income, and interest rates, emphasizing Greater China ..... full job details .....

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