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FX Quant Portfolio Manager
Job in
London, Greater London, W1B, England, UK
Listed on 2026-09-16
Listing for:
Quant Capital
Full Time
position Listed on 2026-09-16
Job specializations:
-
Finance & Banking
Portfolio & Asset Management
Job Description & How to Apply Below
A $1billion strong Hedge fund with performance figures of 13%. They trade a number of products across but mainly FX in both high and low frequency strategies. They have the reputation as one of the best FX funds globally. They use a combination of proprietary data, superior technology, and aggressive execution to achieve their trading objectives.
The Portfolio Manager / PM will be responsible for:
Active Management of a Currency Portfolio Research Model creation
Preparation and running of the currency models, attend and participate in daily currency strategy meetings
Rebalancing client portfolios, in addition to ensuring all client reporting commitments are adhered to in a timely fashion.
Currently the team includes 2 other quants based on the FX platform and a group of 10 traders.
Portfolio Managers MUST have:(We consider both Senior and Junior)
Degree in a quantitative discipline, e.g. economics, mathematics, computer science, finance2+ years of experience in a quantitative role in finance
Excellent communication skills—able to write and present clearly and effectively
High degree of accuracy and risk awareness
Experience with Matlab Analytical, problem solving approach
Knowledge of fixed income markets
Global macro, global asset allocation, or currency experience
Understanding of latency driven and automated executionCFAMy client pays a yearly bonus that is a considerable addition.
I am interested to see your drive as this role will no doubt be popular.
My client is based in London If this is of interest please send your CV to appli
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