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About the firm:
Southern Ridges Capital is a global macro hedge fund managing fixed income, currency assets and their derivatives. Launched in 2019, the firm manages USD 2.5 Billion and has 2 regional offices in Singapore and New York. The firm is regulated and licensed in Singapore by the Monetary Authority of Singapore and by Securities and Exchange Commission in United States. Southern Ridges Capital is a growing firm with a strong culture of collaboration and partnership. We strive to create a conducive environment for seasoned investment professionals to succeed by providing the capital, infrastructure, and resources.
Job Description
The Sub-Portfolio Manager helps a Senior Portfolio Manager (PM) to manage capital trading predominantly in FX and Rates.
Duties And Responsibilities
- Work closely with the PM in managing the trading book while keeping within the firm's risk management framework
- Support for Portfolio Managers for new market analysis, researching new investment ideas,
- Building tools and models that can help in both idea generation and achieving efficiencies in execution
Requirements
The candidate must have at least 5 - 7 years of trading experience in front office on the sell or buy side.
The ideal candidate should provide actual track record of trading across derivative products in Emerging Markets and/or G10 Rates and FX for the last 5 years.
The candidate should have a degree from a reputable university in Mathematics, Finance, Computing.
Proficiency in using macroeconomic toolkits like Haver / CEIC / Macrobond / Bloomberg
Familiarity with statistical and econometric concepts
Programming/coding skills in VBA / Python will be an asset
Date Posted: 02/07/2024
Job ID: 83837615