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Systematic Portfolio Manager | London, UK

Job Description

About the Opportunity

Location: London, UK
Domain Focus: Global Macro, Futures and FX Arbitrage, Systematic Credit
Experience: 7+ years of experience managing a systematic book with a verifiable track record
International Talent: Yes, international applicants are encouraged

Responsibilities

  • Develop and execute strategies across multiple asset classes
  • Focus on scale and robust risk management
  • Translate global macroeconomic trends into systematic trading strategies
  • Lead and mentor a team of junior quants and traders

About You

The ideal candidate will have:

  • Strong quantitative skills
  • Deep insight into macroeconomics, geopolitics, and market cycles
  • Proven ability to generate consistent alpha

Eligibility

Qualifications, Licenses And Academic Achievements:
- Advanced degree (M.S. or Ph.D.) in a quantitative field
- Professional certifications such as the CFA
- History of publishing research in the field

Benefits

  • Career trajectory focused on global macro themes
  • Opportunity to manage a global portfolio
  • Professional development and growth

About Company

We are a global finance firm based in London, focused on systematic trading strategies and global macroeconomic trends.

If you're ready to lead with conviction and build something enduring, we want to hear from you.

Apply Above Or Connect Directly: info@aaaglobal.co.uk | www.aaaglobal.co.uk

Discreet conversations are always welcome (if concerned contact us directly)