FX Options Portfolio Manager (PM)
Permanent
Portfolio Management
London, New York, Hong Kong, Singapore
A top-tier, globally recognised multi-strategy hedge fund is looking to hire an experienced FX Options Portfolio Manager to join its London platform. This is a fully backed seat with significant capital, strong infrastructure, and a proven track record of scaling high-performing PMs.
Key Responsibilities
- Run an independent FX options portfolio with full discretion across G10 and/or EM markets.
- Develop and execute alpha-generating strategies across volatility, relative value, macro, and structured options.
- Manage portfolio construction, risk limits, and drawdown parameters in alignment with the firm’s framework.
- Collaborate with quantitative researchers, analysts, and execution specialists to refine models and trading tools.
- Maintain strong communication with risk management, investment committee, and senior leadership.
- Drive performance while adhering to world-class compliance, operational, and reporting standards.
Requirements
- Proven track record of generating consistent, risk-adjusted returns in FX options at a hedge fund, bank, or prop firm.
- Expertise in options pricing, volatility modelling, macro-driven FX strategies, and cross-asset correlations.
- Strong quantitative skills and experience building models or analytics in Python, C++, or similar.
- Ability to operate independently, manage risk rigorously, and scale a portfolio within a multi-PM environment.
- Demonstrable ability to manage meaningful capital with low drawdowns.
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