Multi Strategy Fund Hiring Equity/ FX Relative Value Macro Associate - Singapore - Eka Finance

    Eka Finance
    Eka Finance Singapore

    2 weeks ago

    Default job background
    Description
    RoleResponsibilities include, but are not limited to:Analyst working alongside Portfolio Manager whose strategy focuses primarily on Equity and FX Volatility and Correlation with a Macro and Relative Value approach spanning Asian, European and US marketsHelp manage front to back trade execution to confirmation of risk in the portfolioExecuting trades on the Portfolio Manager's behalfConducting in depth analysis on volatility arbitrage, dispersion, correlation and global macro strategiesManaging and expanding relationships with counterparties across all jurisdictionsRebalancing the portfolio periodicallyExpense management (trading cost analysis, brokerage costs, technology, etc.)Ad hoc analytical projects involving Excel, VBA, SQL, Python

    RequirementsIn depth understanding of volatility products and strategies across multiple asset classesA Degree in Quantitative finance, Financial engineering, Mathematics, Econ, Finance or similarMinimum 3 years of experience at a buy-side and/or sell-side financial firm in trading Equity and FX productsStrong


    analytical and modelling skillsStrong passion for the global marketsKnowledge of at least one of the following programming languages: R, SQL, , C++, Matlab, Python.

    Python is preferable.

    Proven able to build Macro tools

    ApplyPlease send a PDF resume to