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Strategist- Diversified Alpha Portfolio

4 months ago


London, United Kingdom Nickel Digital Asset Management Full time
Company OverviewnNickel Digital Asset Management is an FCA-authorised, London-based investment manager. We specialise in managing multi-manager funds in both digital asset and traditional finance markets. Nickel has been recognised for its top-performing funds, which leverage advanced systematic quantitative trading strategies and real-time risk management systems. Our commitment to superior returns through incentive-compatible structures is matched by our dedication to integrity and innovation in financial engineering. With a team of industry experts, we strive for excellence in every aspect of our operations.

Position OverviewnWe are seeking an exceptional

Quantitative Strategist

to work on the Diversified Alpha portfolio, our digital assets multi-manager fund. This fund boasts an excellent track record, a robust stable of outstanding portfolio managers, and is backed by high-performance execution and risk management systems. The Strategist will be instrumental in working with the fund’s investment committee to allocate capital allocations to a portfolio of systematic quantitative traders, contributing significantly to the fund's performance. You will be supported by a team of analysts and a wider group of technology, middle office, legal, finance, and compliance staff.

LocationnThe position is based out of our London office in St James’s (Green Park Tube Station), with some scope for hybrid working.

Key ResponsibilitiesnCapital Allocation Recommendations: Analyse performance and risk to strategically recommend capital allocations to the investment committee.nRisk Management: Implement and maintain stringent risk management protocols to monitor and control the risk exposure of managed accounts, adhering to fund policies and risk tolerance.nPerformance Analysis: Conduct in-depth analysis of traders and strategies to guide capital allocation and risk management decisions.nTeam Collaboration: Work closely with the investment committee and collaborate with both internal and external teams, including risk management, compliance, and operations, to ensure flawless strategy execution.nInvestor Communication: Provide clear and insightful communications to allocators on fund performance, strategic directions, and portfolio management.

QualificationsnDemonstrated success as a

systematic quantitative trader , with a reputable history of developing and implementing effective trading strategies.nExperience in

recommending capital allocations to investment committees

and

evaluating performance and risk indicators .nAdvanced degree in Finance, Economics, Mathematics, Computer Science, or another relevant quantitative field.nExceptional

analytical and quantitative skills , with expertise in statistical analysis and financial modelling.nOutstanding

communication

and

interpersonal

abilities, with the skill to explain complex concepts to a varied audience.nTeam player

with proven ability to work well within a team environment and manage multiple tasks in a dynamic setting.

Application ProcessnQualified candidates are encouraged to apply via LinkedIn by submitting a CV and a cover letter that highlights your fit with the role's responsibilities and qualifications. Please include examples of past successes in trading and allocating to traders, along with any relevant publications, certifications, or achievements.

Our Offer:nA competitive salary complemented by an incentive component tied to the fund's performance, reflecting our commitment to reward excellence and significant contributions to the fund's success.nStock options, private health plan, and employee well-being program.nNickel is an equal opportunities employer who hires and rewards on merit.

No agencies, please.