This specialized role requires a unique combination of quantitative strategy insight and rigorous risk management... and a focus on dynamic risk discovery during active trading hours. Key Responsibilities Arbitrage Mechanism Discovery...
Quantitative Developer – Global Equities Trading Location: Hong Kong Our client, a top-tier quantitative hedge fund... Trading Monitoring Improve monitoring systems for market data, alpha positions, trade execution, and risk Post-Trade...
of product management or trading systems experience, ideally within quantitative trading firms, fintech, or high‑frequency/low...‑latency trading environments. Solid quantitative or technical background — degree in Mathematics, Statistics, Computer...
Technology (Developers/SREs), and the COO/Risk teams . You are the first responder and technical owner for all live trading...Pinpoint Asia is partnering with a world-leading global systematic investment manager. Our client is a technology-first...
Pinpoint Asia is exclusively partnering with a top-tier global quantitative investment manager in their search... for a mission-critical Trading Systems Developer. This is not a "back-office" IT role. You will be joining an elite team in Hong...
Nice to Have Previous experience in proprietary trading, market making, or quantitative research roles Experience... individual's freedom. OKX is a leading crypto exchange, and the developer of OKX Wallet, giving millions access to crypto trading...
(trading or risk), ideally with APAC market exposure. Strong quantitative background and problem-solving skills. Ability...About the Role We are partnering with a top-tier hedge fund to hire a Risk Manager who will oversee day-to-day risk...
Our client is a hedge fund, seeking an experienced Portfolio Risk Manager to ensure adherence to risk-taking framework..., and limit guidelines. Establish portfolio manager mandates and allocate capital strategically. Investigate risk limit breaches...
Equity Portfolio Investment Risk Manager Ensure efficient and deliberate risk-taking at both portfolio and firm levels..., comprehensive and timely manner Requirements 5+ years as a risk manager or portfolio manager focusing on hedged discretionary...
and timely manner Requirements 5+ years as a risk manager or portfolio manager focusing on hedged discretionary strategies... Deep understanding of equities risk management, portfolio construction, and trading across various equity strategies (eg...
Hong Kong Job Description Role The role is for an Equities Prime Risk Manager of Asia based in HK, reporting... and credit risk expertise and ready to collaborate extensively with stakeholders across Trading, Risk and other Corporate...
exposures. Qualifications 5+ years of experience in risk management or trading within a hedge fund, multi-manager platform...Risk Manager – Hedge Fund We are looking for an experienced Risk Manager to join our client, a multi-strategy hedge...
Equity Portfolio Investment Risk Manager Ensure efficient and deliberate risk-taking at both portfolio and firm levels..., comprehensive and timely manner Requirements 5+ years as a risk manager or portfolio manager focusing on hedged discretionary...
in market risk, counterparty credit risk and liquidity risk is a pre. Strong quantitative, analytical, and problem‑solving... by trading volume and registered users. We are trusted by over 280 million people in 100+ countries for our industry‑leading...
system, leverage tiers, risk limits). Collaborate with Quant, Engineering, Risk, and Futures Trading teams to identify risk...Binance is a leading global blockchain ecosystem behind the world’s largest cryptocurrency exchange by trading volume...
, trading management and strategists with appropriate escalation of risks identified to senior risk managers. Close... in risk management and / or quantitative field in a sell‑side institution. Knowledge of Equity markets and products is a key...
Our client is a globally recognized, top-tier quantitative and systematic investment manager , renowned for its..., and trading expertise to solve the most complex market challenges. They foster a collaborative and innovative culture...
and visualization, handling multiple projects that encompass risk analytics, monitoring, quantitative research, and trading...Company Introduction Polymer Capital Management is a market-neutral, multi-manager investment platform based...
Kong. This is an onsite role and the role will report into the Risk Manager based in Hong Kong. Responsibilities... and maintenance of our market risk framework, and policy documentations Collaborate with Compliance to enhance quantitative analytics...
of systematic trading strategies within a best-in-class hedge fund platform. You’ll manage capital with a disciplined risk framework..., infrastructure, and technology resources. Requirements 3+ years’ experience as a Portfolio Manager or Sub-PM with a live trading...