Portfolio Manager - London, United Kingdom - eFinancialCareers
Description
Key Responsibilities:
- Execute trades across multiple products including FX, inflation, OTC derivatives, futures and linear and nonlinear derivatives
- Manage and monitor portfolios in line with client and regulatory requirements
- Manage and understand risk limits
- Prepare reporting packs and presentations
- Assist in the production of market research and market strategy
- Conduct quantitative analysis to support idea generation
- 14 years of relevant experience on the buyside or sellside in a structuring, trading, sales or PM role
- Strong understanding of derivatives is essential
- Excellent quantitative and analytical skills
- Postgraduate degree in a quantitative discipline
- Coding skills in Python
- Strong attention to detail and emphasis on accuracy
- Ability to work to tight deadlines and prioritise work according to urgency and importance
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