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Portfolio Manager

MA CAPITAL U.S. LLC

Who We Are MA Capital US LLC is a proprietary trading firm specializing in systematic and high‑performing discretionary strategies across multiple asset classes. We leverage advanced technology, quantitative research, and sophisticated models to capitalize on opportunities in global markets. Our culture is built on innovation, efficiency, and transparency. We are committed to providing liquidity and supporting fair, efficient markets, while ensuring our traders and professionals have flexibility, tools, and continuous learning opportunities to succeed. What Sets Us Apart Highly competitive PnL splits (up to 50%). Low clearing/exchange fees. CME 106J membership for better access and reduced costs. Agile, high‑impact environment where skilled traders thrive, unburdened by the delays of traditional corporate bureaucracy. Position Overview We are seeking a skilled Futures Portfolio Manager (PM) to develop and manage fully systematic trading strategies for CME futures and also EUREX futures. The role is open to HFT and MFT traders. The PM should have a strong quantitative background, a proven track record of profitability, and an ability to operate in a fast‑paced, technology‑driven trading environment. MA Capital employs individuals with a passion for innovation and solving hard problems. If you’re looking for a firm where you can make your mark or take a strategy to the next level, MA Capital is your home. Key Responsibilities Strategy Development: Design and implement fully systematic trading strategies for different types of CME futures and EUREX futures (cash‑settled, commodity futures, etc.). Open to top‑tier discretionary traders or those transitioning to a systematic approach. Portfolio & Risk Management: Oversee intraday and short‑term trading strategies, typically closing positions by the end of the day or holding for up to 5 days. Maintain risk exposure within firm parameters. Technology & Research: Utilize Python or C++ to build trading strategies, integrate with our infrastructure, and optimize execution. Performance Optimization: Continuously analyze and adjust strategies based on market conditions and real‑time performance data. Required Qualifications Market Coverage: 3+ years in D1 products focusing initially on CME, ICE and EUREX futures trading from a quantitative proprietary trading firm, hedge fund, family office, banks. Forex may also be considered. Proven Track Record: Demonstrated success in creating and developing profitable trading strategies with strong risk‑adjusted returns. Programming: Proficient in Python or C++. Risk Management: Strong understanding of risk controls and where applicable market microstructure, and regulatory compliance. Alpha & Signal Generation: PM should initially generate Alpha from exchange and derived market data. Why Join Us? Professional Development: Hands‑on experience in a startup environment where you’re empowered to innovate and shape the future of trading technology. Flexible Working Options: Hybrid schedule and ability to work from our offices in Chicago / New York. Startup Environment: Agile and entrepreneurial setup, allowing for flexibility and rapid decision‑making. Efficient Infrastructure: Proprietary platform for systematic trading with plug‑and‑play access to major global exchanges. Built for ultra‑low latency and fast execution in HFT environments. Comprehensive Health Coverage: Includes medical, dental, and vision insurance. 401(k) Retirement Plan: Helping you and your family plan for a secure financial future. #J-18808-Ljbffr

Vacancy posted 3 hours ago
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