What are the responsibilities and job description for the FX Volatility Portfolio Manager position at Selby Jennings?
FX Volatility Portfolio Manager
New York, NY
About the Client:
Our client is a US hedge fund managing more than $2bn in HF Assets and further assets on the private side.
With a strong macro background, they are now looking to grow their FX Vol coverage with a new PM group. They currently have about 10 PM teams and an established center book. PMs will get their own standalone book, but work in a fully collaborative environment with active sharing of macro economic data daily.
Key Responsibilities:
- Develop and implement FX volatility trading strategies.
- Manage and monitor portfolio risk and performance.
- Conduct thorough market analysis and research.
- Collaborate with the wider macro team to align strategies with broader market views.
- Maintain strong relationships with counterparties and brokers.
Qualifications:
- Proven experience in FX volatility trading and portfolio management.
- A clear track record and live PnL track consistent with $10mm per annum.
- Strong analytical skills and proficiency in quantitative methods.
- Excellent understanding of macroeconomic factors affecting FX markets.
- Ability to work in a fast-paced, high-pressure environment.
- Effective communication and teamwork skills.
Salary : $250,000 - $750,000