Macro Volatility Portfolio Manager | New York / London | Paragon Alpha

Macro Volatility Portfolio Manager | New York / London

Permanent

Portfolio Management

London, New York

We are hiring an experienced Macro Volatility Portfolio Manager to join top-tier global hedge funds and multi-strategy platforms in New York or London. This role focuses on trading macro volatility across rates, FX, equities, and cross-asset derivatives, monetising dislocations in volatility, skew, and correlation.

Consultant | Global Quant PMs

James Beauclerk

info@paragonalpha.com

Key Responsibilities

  • Manage a macro volatility portfolio with full PnL ownership
  • Trade volatility, skew, and convexity strategies across asset classes
  • Express macro views using options and structured derivatives
  • Identify regime shifts driven by monetary policy, macro data, and geopolitical events
  • Work closely with risk and execution teams to manage drawdowns and tail risk

Requirements

  • Proven track record trading macro volatility or cross-asset options strategies
  • Deep understanding of options pricing, volatility surfaces, and greeks
  • Strong macro framework combined with disciplined risk management
  • Experience trading rates, FX, and/or equity options
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