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.

Consultant | Global Quant PMs

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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