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High Frequency Portfolio Manager

eFinancialCareers · London

Mid 🇬🇧 English
Python C++

Job description

About the role

The High Frequency Portfolio Manager will design and enhance algorithmic trading strategies using the firm’s proprietary platform. You will work closely with quantitative researchers to translate ideas into production‑ready models and continuously optimise existing strategies.

Key responsibilities

  • Develop new high‑frequency trading strategies and adapt existing ones to improve performance.
  • Implement and back‑test models using Python and C++ within the proprietary software environment.
  • Monitor portfolio performance, manage risk, and deliver strong return on capital.
  • Collaborate with traders, developers, and data scientists to integrate research insights.

Required profile

  • Minimum 2 years of experience as a systematic trader with a proven track record as a portfolio or proprietary trader.
  • Demonstrated ability to generate excellent return on capital.
  • Experience working at a proprietary trading firm, hedge fund, or investment bank.
  • Academic background: B.S., M.S., or Ph.D. in engineering, mathematics, physics, statistics, or computer science.

Required skills

  • Python
  • C++

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eFinancialCareers

London