Systematic Fixed Income Strategist/ Portfolio Manager recruitment
The team closely collaborates with trading, for the execution and risk management of the strategies, and sales/structuring, on client analysis and presentations.
Responsibilities will include:
- Researching and back testing new trading strategies
- Developing the infrastructure that allows trading and risk management of the algorithms
- Monitoring and improving on existing strategies
- Helping the marketing team in presenting and discussing the strategies with clients
- Staying on top of academic research and spotting any possible application for the business
Preferred Qualifications
- PhD or Masters degree in a quantitative discipline
- Strong Econometrics / Mathematical skills
- Strong OO programming skills
- Some knowledge and/or experience in developing complex trading strategies and expertise in FICC asset classes.
For further information, please contact Daniel Morrison on 020 7780 6700 or Daniel.Morrison@AnsonMcCade.com
August 13, 2012
• Tags: Asset Management careers in the UK, Portfolio Manager recruitment, Systematic Fixed Income Strategist • Posted in: Financial