FX Options Portfolio Manager | London / Dubai | Paragon Alpha

FX Options Portfolio Manager | London / Dubai

Permanent

Portfolio Management

London, Dubai

We are hiring an experienced FX Options Portfolio Manager for leading global hedge funds and multi-strategy platforms in London and Dubai. This role focuses on actively managing FX options strategies, trading volatility, skew, and relative value across major and emerging market currencies.

Recruitment Consultant

James Beauclerk

info@paragonalpha.com

Key Responsibilities

  • Manage and grow a live FX options portfolio with full risk ownership
  • Trade volatility, skew, and relative-value FX options strategies
  • Generate alpha through systematic and/or discretionary FX options trading
  • Work closely with risk, execution, and quantitative teams to optimize performance

Requirements

  • Proven track record trading FX options in a hedge fund or bank environment
  • Deep understanding of volatility surfaces, greeks, and FX market dynamics
  • Strong risk management discipline and PnL accountability
  • Experience trading G10 and/or EM FX options
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