Portfolio Manager - Systematic Credit Team

at  Teza Technologies

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate26 Oct, 2024Not Specified28 Jul, 20245 year(s) or aboveRisk,Critical Thinking,Research,Fundamentals,Technology,OperationsNoNo
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Description:

We are looking for a PM to join our Systematic Credit Team. Your work will impact the profitability of strategies across futures and equities and will constitute our competitive edge in the markets.
Location
New York, London, (Hybrid mode with 3 days in-office requirement)

Key Responsibilities

  • Build and co-lead the development of our Systematic Credit Portfolio
  • Manage systematic market-neutral portfolio of IG and/or HY positions
  • Be an integral part of the credit team to enhance the investment and research process, leveraging your knowledge of market technicals and credit fundamentals
  • Create and continuously improve execution algorithms utilizing internal and external software

Basic Requirements

  • PhD in Computer Science/Math/Physics or similar degree
  • Over 5 years of experience with risk-taking responsibilities
  • Deep understanding of fundamentals of credit markets
  • Expertize in over-the-counter trading of credit markets
  • Thorough understanding of risk in credit space and factors that influence credit portfolio
  • Proven ability and comfort working with different groups (research, technology, operations) and with colleagues of varying experience levels
  • Very high attention to detail
  • Excellent critical thinking, analytical abilities, and problem-solving

What you’ll get

  • We will challenge you to grow professionally and provide freedom to create the best algorithms in finance
  • You’ll get the autonomy to create and be supported by a collaborative team environment to achieve success (you’ll be a part of team Teza!)Our environment helps people to master their art and have fun doing it

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What makes you a match

  • You love to code and find solutions to complex problems
  • You know how to get people to listen to your ideas
  • You are capable of understanding and improving the legacy codebase
  • Difficult problems make you excited
  • You have passion and drive

How To Apply:

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Responsibilities:

  • Build and co-lead the development of our Systematic Credit Portfolio
  • Manage systematic market-neutral portfolio of IG and/or HY positions
  • Be an integral part of the credit team to enhance the investment and research process, leveraging your knowledge of market technicals and credit fundamentals
  • Create and continuously improve execution algorithms utilizing internal and external softwar


REQUIREMENT SUMMARY

Min:5.0Max:10.0 year(s)

Financial Services

Marketing / Advertising / MR / PR

Finance

Graduate

Proficient

1

London, United Kingdom