Hedge Fund Portfolio Manager Job at augmentjobs, Burlington, VT

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  • augmentjobs
  • Burlington, VT

Job Description

About Us:

We are a leading global hedge fund, focused on delivering exceptional returns for our investors through a combination of sophisticated quantitative models, discretionary strategies, and deep industry expertise. We employ a collaborative, dynamic environment where innovation and performance are at the core of everything we do.

We are seeking a talented, results-driven Portfolio Manager to join our team and manage diverse, multi-asset class portfolios. As a Portfolio Manager, you will work closely with senior leadership, research teams, and risk management to make key investment decisions and drive portfolio performance.

Job Responsibilities:
  • Portfolio Management:

    • Lead the management of a portfolio of assets, ensuring alignment with fund objectives and risk parameters.
    • Execute investment decisions and manage the day-to-day adjustments to the portfolio.
    • Develop and implement strategies across equity, fixed income, derivatives, and other asset classes.
    • Optimize portfolio performance by maintaining a strong understanding of market trends, economic data, and macroeconomic factors.
  • Research & Strategy Development:

    • Work closely with research teams to integrate macroeconomic insights, quantitative models, and fundamental analysis into portfolio strategy.
    • Leverage data-driven insights to identify alpha-generating opportunities, market inefficiencies, and risk mitigation techniques.
    • Continuously monitor and adapt to changing market conditions to ensure strategic flexibility.
  • Risk Management:

    • Employ robust risk management frameworks to monitor and control portfolio risk, ensuring compliance with fund's risk appetite and regulatory requirements.
    • Ensure that portfolio risk exposures are in line with fund objectives and capital preservation goals.
  • Stakeholder Reporting:

    • Prepare regular performance and risk reports for internal stakeholders, including senior management, investors, and compliance teams.
    • Present key insights and updates to senior leadership regarding portfolio performance, positioning, and market outlook.
  • Client Relations:

    • Engage with clients to provide portfolio updates, discuss strategies, and answer inquiries.
    • Represent the hedge fund at investor meetings, conferences, and other key events.
  • Team Collaboration:

    • Collaborate with analysts, risk managers, traders, and other portfolio managers to share insights and build cohesive strategies.
    • Mentor junior team members and support their development within the firm.
Requirements:
  • Education:

    • Bachelor's degree in Finance, Economics, or related field.
    • MBA, CFA, or other advanced professional qualifications preferred.
  • Experience:

    • Minimum of 5 10 years of experience in portfolio management, trading, or research, with at least 3 years of direct portfolio management experience in a hedge fund, investment management, or asset management firm.
    • Strong understanding of global financial markets, instruments, and trading strategies.
    • Proven track record of managing multi-asset portfolios with significant assets under management (AUM).
  • Skills & Knowledge:

    • Expertise in risk management, financial modeling, and portfolio optimization techniques.
    • In-depth knowledge of macroeconomic trends, quantitative models, and alternative investment strategies.
    • Strong analytical, decision-making, and problem-solving skills.
    • Excellent communication skills, both written and verbal, with the ability to present complex concepts clearly.
  • Technical Skills:

    • Proficiency in financial modeling software, Bloomberg, FactSet, and advanced Excel.
    • Familiarity with Python, R, or other programming languages for analysis and automation is a plus.
Compensation:
  • Base Salary: $200,000 - $500,000 per year, depending on experience and portfolio performance.
  • Performance Bonus: Eligible for a discretionary performance-based bonus, typically ranging from 30% to 100% of base salary based on individual and firm performance.
  • Equity Participation: Opportunities for long-term equity ownership in the firm.
  • Benefits: Comprehensive benefits package including health insurance, retirement plans, and other perks.
  • Other Incentives: Relocation assistance, professional development programs, and more.
How to Apply:

If you are a highly motivated, results-oriented individual with a passion for investment management and a strong track record in portfolio management, we would love to hear from you. Please submit your resume and a cover letter outlining your qualifications and why you're a great fit for this role.

Job Tags

Full time, Relocation package,

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