About the role
Role:
An established quantitative portfolio management team at Point72 is looking for an experienced trader to oversee the team’s trading process, contribute to its core business, and develop new areas of expertise. This is an opportunity for candidates with expertise in systematic trading to take on a leading role on the front lines of the team’s investment process.
Responsibilities:
- Oversight of international equities and macro systematic trading during European hours and provide backup coverage during US morning.
- Execute trades in rates instruments across global OTC markets.
- Build relationships and negotiate trades with liquidity partners to achieve best execution.
- Monitor and support portfolio construction, execution, connectivity, and related processes.
- Help conduct post-trading execution and transaction cost analysis and suggest ways to improve.
- Support the international implementation of internally developed algorithms and help monitor them for any trading issues.
Requirements:
- 2+ years of work experience in algorithmic trading and exposure to systematic macro strategies, ideally with experience in futures, fixed income, FX, and exchange-traded global equities.
- Undergraduate or higher degree in computer science, statistics, applied mathematics, engineering, or other quantitative discipline.
- Familiarity with SQL and Python.
- Familiarity with vendor trading platforms including Tradeweb and Bloomberg.
- Detail-oriented and vigilant about potential operational risks.
- Strong quantitative skills and sensitivity to numbers.
- Commitment to the highest ethical standards.
Aplyr's read
Point72 is a global asset management firm known for its multi-strategy investing and rigorous analyst programs, attracting driven professionals in finance and technology.
What's promising
- •Point72's multi-strategy approach offers diverse investment exposure and learning opportunities.
- •The firm invests heavily in technology, providing cutting-edge tools for employees.
- •Point72 Academy programs are renowned for developing top-tier investment professionals.
What to watch
- •The firm's high-performance culture may lead to intense work pressure.
- •Regulatory scrutiny is a constant concern due to past controversies.
- •Limited public information about work-life balance and employee satisfaction.
Why Point72
- •Point72 manages the personal capital of founder Steven A. Cohen.
- •The firm combines traditional and quantitative strategies in its investment approach.
- •Point72 offers specialized roles in macro technology and quantitative analysis.
Aplyr’s read is generated by AI from public sources. Was it useful?
About Point72
Point72 Asset Management is a global asset management firm that manages the capital of its founder, Steven A. Cohen, and certain employees. The firm employs a multi-strategy approach to investing, focusing on long/short equity, macroeconomic trends, and quantitative strategies.
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