Tag: Portfolio

  • Portfolio Manager/Trader – Flaherty & Crumrine – Pasadena, CA

    www.flaherty-crumrine.com . Flaherty & Crumrine is seeking a Portfolio Manager/Trader (“PM”) to join its portfolio management team in Pasadena, California. The…
    From OneWire Inc. – 19 Nov 2012 23:56:05 GMT
    – View all Pasadena jobs

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  • Assistant Portfolio Systematic Trading Analyst

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    Job Description:

    We are currently looking for individuals with a successful academic background, and will offer training for the Assistant Portfolio Trading Analyst position. This is a unique entry level opportunity for high caliber individuals looking for rewarding careers in systematic trading.

    Job Qualifications:

    – Ph.D. or M.S. degree from a top tier institution (such as MIT, Harvard, Stanford, Cal Tech, etc) in an analytical field, such as Mathematics, Operations Research, Economics, Electrical Engineering, Computer Science and Physics

    – Interest in finance, demonstrated by coursework in economics or finance

    – Solid programming skills (C++/Python/Perl)

    – Understanding of optimization theory and algorithms (including dynamic programming, large-scale linear and non-linear programming, interior point methods, genetic algorithms, simulated annealing and robust optimization) a plus

    – Strong work ethic and drive to succeed

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  • Senior Investment Portfolio Manager, AED 40,000 – UAE, Dubai

    Large Dubai based Family Holding company seeking an expert Portfolio Manager with International Capital Markets experience.

    View full post on exec-appointments.com: Trading Jobs

  • Agriculture Portfolio Manager

    I am currently running a search for an Agriculture Portfolio Manager with Grains or Oil Seeds experience for a $10b Hedge Fund in New York City.

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  • Independent Portfolio Manager / Trader- Multibillion Multi Strategy Hedge Fund

    Independent Portfolio Manager / Trader- Multibillion Multi Strategy Hedge Fund

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  • Portfolio Analyst

    ProShares is currently hiring for a Portfolio Analyst. This role will assist the Portfolio Management Team in the daily management and repositioning of ETF and Mutual Fund portfolios. Duties may encompass administrative, support and operational tasks, and investment performance analyses.

    View full post on All Trading Jobs: eFinancialCareers.com

  • Portfolio Manager – New York – Quant Fund

    A position for a quantitative portfolio manager with a systematic multi-strategy hedge-fund. The role will involve alpha research / trading systematic models.

    View full post on All Trading Jobs: eFinancialCareers.com

  • Fixed Income Beta Portfolio Manager

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    Job Description

    We are currently recruiting a Portfolio Manager within its Boston based Fixed Income Beta team. The team is responsible for managing a wide range of fixed income strategies as well as ETFs, maintaining and improving investment processes, and for providing original insight on fixed income markets. The Portfolio Manager will be responsible for managing portfolios on a daily basis. Additionally, the PM will have project work and client interaction periodically.

    The responsibilities of the individual in this position include:

    – Successfully constructing and managing index tracking fixed income portfolios based on the investment guidelines (primary responsibility).
    – Maintaining a deep understanding of global fixed income markets and their structure.
    – Understanding and enhancing processes on both institutional and ETF product lines – Working on and providing ideas for new strategies and funds.
    – Contributing towards thought leadership by writing reports on investment themes, for internal and external distribution.

    Job Qualifications:

    – Degree qualified in numerate/financial discipline or equivalent.
    – Fixed income portfolio management experience (3 to 5yrs).
    – Knowledge of fixed income benchmarks & methodology.
    – Familiarity with analytical systems such as Barclays POINT and Yieldbook.
    – Advanced Excel skills.
    – MBA and/or CFA qualified or undertaking CFA program is highly preferred but not mandatory.
    – Good writing skills and an ability to articulate market views effectively.
    – Experience with Investment Grade and/or High Yield credit a plus.

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  • Senior Manager, Fixed Income Portfolio Risk Job

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    Senior Manager, Fixed Income Portfolio Risk-719206

    Description
    Title: Sr. Manager, Fixed Income Portfolio Risk

    Responsibilities:
    • Oversee the financial risk management of Capital One’s fixed income Investment Portfolio activity
    • Manage the valuation process for Capital One’s investment portfolio
    • Run analytics on trade performance based on forecasting, rate scenarios, and proposed trading strategies
    • Develop and maintain strong working relationship with traders and external vendors to ensure timely completion of valuation and analytics runs
    • Work closely with Accounting Policy, Infrastructure, IT, Legal, and Compliance departments to implement new products, systems, and regulations, or to resolve trading and/or reporting-related issues

    Qualifications
    Basic Qualifications:
    • Bachelors degree
    • 5 years experience working with fixed income securities with an emphasis on Mortgage Backed Securities, Asset Backed Securities, CMBS and derivatives in a capital markets analytics function at a large corporate or asset management firm, or other similar trading-related experience

    Preferred Qualifications:
    • Bachelors degree in Finance, Economics, Statistics, Mathematics, Operations Research, Engineering or other hard science
    • Advanced degree in a quantitative area, or MBA, or CFA
    • 7 or more years experience working with fixed income securities with an emphasis on Mortgage Backed Securities, Asset Backed Securities, CMBS and derivatives in a capital markets analytics function at a large corporate or financial institution, or other similar trading-related experience
    • Experience with financial trading and modeling applications, including PolyPaths, Murex, Summit, Bloomberg, or similar system

    • Strong Excel VBA programming skills

    • Bond Portfolio Investment Management experience a plus

    Job: Audit, Risk Management and Security
    Primary Location: United States-New York-New York-Mid Manh-90 Park Ave Br 862 (22862)
    Schedule: Full-time
    Travel: Yes, 10 % of the Time

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  • Leading Systematic Hedge Fund Hiring Medium Frequency Portfolio Managers/ CT/ $Base + % PnL Cut

    Leading global systematic hedge fund are looking to hire systematic medium frequency portfolio managers.

    View full post on All Trading Jobs: eFinancialCareers.com