Funds Derivatives Portfolio Manager

Our client is an established financial services provider with a global multi asset mandate within their business. With continued evolvement of the management of Equity portfolios, a newly created role within the team has a focus on alpha generation and overlay risk management strategies.

You will be responsible for the formulation of strategy research, ideas and the development of strategies across domestic and international equity portfolios. This includes the use of hedging and overlay strategies; the development of structures to replicate or enhance sector exposure or emerging market portfolios in seeking alpha generation and enhancing returns on these portfolios. You will be working closely with the Tactical Asset Allocation team to to improve the investment strategy and process to ensure portfolio investment returns are met and exceeded.

To be considered you must have had significant experience in managing and/or structuring options books across equities, rates or currencies. Whilst equities experience is preferable, we are keen to meet with astute candidates with strong derivatives experience and track record, who also have a strong knowledge base across all products and asset classes.

May 9, 2013 • Tags: , • Posted in: Financial

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