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Jr. Portfolio Manager - Global Macro Vol (FX/Equities/Cross Asset Derivatives)

Undisclosed

We are working with a small vol-focused hedge fund to hire a Jr. Portfolio Manager to co-manage the portfolio alongside our Chief Investment Officer, with latitude to originate and implement independent ideas. This is a replacement seat on a lean, senior investment team. The role centers on expressing macro views through derivatives. Deep, hands-on experience trading FX options, volatility, and structured FX products is the highest priority. Equity and interest-rate derivatives experience is a strong second; commodities and credit derivatives are an additional advantage. You will report directly to the CIO and work alongside a Senior PM, an execution trader, and a quantitative/risk analyst. 3-5 years in a volatility (FX, Equities, Rates, Credit) risk-taking or structuring at a hedge fund, asset manager, or investment bank. Demonstrated hands-on experience with options, volatility strategies, and structured products Strong command of option pricing, volatility, convexity, and the construction of limited-downside, asymmetric structures. Proficiency in technical analysis and comfort using quantitative model output within a discretionary process. Ability to translate macro themes into differentiated, actionable, well-structured trades. Cross-asset awareness beyond FX, at minimum in equities or rates. Sound judgment, intellectual curiosity, and a disciplined, collaborative approach to risk within a small team. #J-18808-Ljbffr Undisclosed

Vacancy posted 3 days ago
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