We are building out a team for an esteemed macro PM in London who seeks to create portfolio diversification by allocating to an FX Volatility focused Sub PM.
The ideal candidate will have at least 1-2 years experience taking risk* or having a sleeve that has learned the fundamentals of Vol markets and how to navigate the ups and downs.

You should be able to talk clearly and concisely about your process; what is is, how you derive trades, what you look for in a trade and how you manage your trades as well as downside risk.
The PM is looking for someone that is humble and coachable, and wants to level up their career with this opportunity in a Tier 1 Hedge Fund.
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