Job Summary
We are a growing, top-ranked options focused CTA/Hedge Fund managing $400M with a small team (ex Lehman Brothers, SAC, Millennium) looking to expand. We are currently hiring a Master’s or PhD Math or Statistics to be part of our Risk Management, Investment Research, and Trade Strategy Implementation effort.
Responsibilities and Duties
Risk Management, Backtesting, refining, implementing current and new strategies.
Qualifications and Skills
Master’s or PhD Math or Statistics; Other Quantitative degrees will be considered
Job Type: Full-time
Pay: $90,000.00 – $130,000.00 per year
Benefits:
Physical Setting:
Schedule:
Supplemental Pay:
Education:
Experience:
Work Location: One location
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