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Portfolio Manager with Portable Quant Strategy

vor 2 Wochen


Home Office, Schweiz Leibniz Group Vollzeit

Seeking a talented Quantitative Portfolio Manager to join our dynamic and fast-growing investment team.

Leibniz Group is a fast growing Multi-Strategy Multi-Manager Asset Management firm recognized for its innovative systematic and machine learning-driven investment strategies. Our team of experienced professionals manages 12 award-winning strategies, available through various vehicles including managed accounts and funds, and customizable to meet clients' needs.

This is an exceptional opportunity for a seasoned manager with a live and transportable systematic/quantitative investment strategy to bring their expertise and drive growth for our firm.

1. Proven experience as a Systematic Portfolio Manager
2. A live and transportable investment strategy with a minimum capacity of $300 million
3. Strong analytical and strategic thinking skills
4. Ability to drive growth and performance through sound decisions
5. Excellent interpersonal and communication skills

If you are a driven and innovative Portfolio Manager with a passion for systematic investment strategies, we encourage you to apply. This is a unique opportunity to join a dynamic team and bring your expertise to the next level.

Tasks

1. Oversee the operation of your systematized investment strategy
2. Participate in all aspects of the quant trading process, including idea generation, strategy research, development, implementation, API connectivity, and portfolio management
3. Maintain regular communication with the internal investment committee and clients
4. Research and integrate new data sets to inform investment decisions
5. Conduct backtesting to assess the performance and risk of investment strategies
6. Engage in market microstructure research and alpha signal analysis to identify new opportunities and improve investment outcomes.

**Requirements**:
1. Minimum 5+ years of demonstrated success managing your own systematized investment strategy, with a preference for experience in Futures, Equities or Spot FX and a Sharpe ratio of at least 1.5
2. High-level programming and quantitative skills
3. Advanced degree in a quantitative field such as Mathematics, Physics, or Computer Science from a leading university
4. Strong track record of exceptional performance, ideally achieved at well-known firms
5. Self-motivated, results-oriented approach with a strong commitment to continual improvement
6. A desire to work in a flat organizational structure with a culture of mutual respect and collaboration.

**Benefits**:
Potentially flexible location