Portfolio Manager | Proprietary Trading Firm | SG$420,000 | Hybrid | Singapore
Albert Bow is currently working with an exciting proprietary trading firm that specializes in providing liquidity within the global markets. Our esteemed client seeks a proficient Portfolio Manager to join their Singapore team. The ideal candidate should demonstrate a well-established track record of accomplishments in the realms of high-frequency trading and portfolio management.
In this role, your daily responsibilities will include:
- Develop and execute high-frequency/intraday trading strategies in a fast-paced and dynamic setting.
- Manage the optimization of trading algorithms and systems, utilizing quantitative analysis to pinpoint and capitalize on market prospects.
- Collaborating closely with trading, research, and technology teams to refine and enhance trading models and strategies.
- Monitor market conditions and adapt to trading strategies to adjust shifting trends and dynamics.
- Ensuring steadfast compliance with regulatory requisites and implementing risk management best practices.
We are in pursuit of an individual who has the following attributes:
- Substantiated professional experience in high-frequency trading or portfolio management, with a proven record of accomplishments and a Profit & Loss statement exceeding USD 1 million annually.
- Ownership of proprietary or successful trading alphas/strategies.
- Proficiency in index roll or index arbitrage strategies will be given strong consideration.
- Profound understanding of financial markets and trading technology, encompassing hands-on trading experience on OSE, TSE, SGX, Bursa, SET, or CME.
- Candidates with professional trading background on HKEX, SHE, DFE, KRX, ASX, and within the Crypto market will also be thoughtfully considered.
- Robust quantitative and analytical proficiencies, underscored by a demonstrated capability to leverage data and models for informed trading decisions.
- Exceptional communication skills, characterized by the capacity to effectively communicate intricate trading strategies and market insights to both technical and non-technical stakeholders.
- A Bachelor’s or Master’s degree in Finance, Economics, Mathematics, Computer Science, or a related field.
This is a hybrid role based in Singapore.
If you find this opportunity appealing, we encourage you to connect with us via LinkedIn or submit an updated CV. Initial interviews will be conducted promptly. If you are interested, you may also reach out directly via email: email@example.com
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|Job Category||Quant & Trading|