Risk Management Analyst
3 days ago
Schonfeld Strategic Advisors is a leading multi-manager platform investing its capital with Internal and Partner portfolio managers across four trading strategies: quantitative, fundamental equity, tactical trading, and discretionary macro & fixed income. We're seeking a talented Quantitative Researcher to join our team and contribute to our growth and success.
As a key member of our investment process, you'll work closely with our portfolio managers, quant researchers, and developers to drive innovation and growth. Your primary responsibility will be to develop and deploy models around alphas, execution, and risk management.
Key Challenges:
- Develop and implement advanced quantitative models for systematic macro trading strategies.
- Contribute to the growth and success of our investment process through your research and expertise.
Requirements:
- 3-7 years experience in systematic trading in rates/fixed-income derivatives, bonds or futures from top-tier funds or banks.
- Demonstrate ability to conduct independent alpha research, portfolio construction, curve building, and asset pricing.
- Masters or PhD degree in mathematics, computer science, economics, or other related discipline.
- Experience with managing and running risk is a plus.
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