Job Description
Macro Analyst — Singapore
- Top tier global multi-strat hedge fund is looking to hire a Macro Analyst to work closely with a Senior Portfolio Manager in Singapore.
- Minimum 3 years of experience at a buy-side and/or sell-side financial firm in trading or quantitative analysis of Equity, FX and/or Rates products
- Strong analytical and modelling skills
- In-depth understanding of volatility products and strategies across multiple asset classes
- Knowledge of at least one of the following programming languages: R, SQL, C++, Matlab, Python. Python is preferable. Proven ability to build Macro tools
Senior Private Banker — Zurich
- For our client, a global tier 1 private bank, we are looking for a senior private banker based in Zurich to cover North Europe, including the Nordics, Spain, Italy, Greece, Holland and the U.K.
Portfolio Manager — JPY Rates or FX
- Top tier global multi-strat hedge ...
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