The role is to automate entry and exit opportunities and manage the risk for an equities portfolio. Your main time will be spent backtesting a strategy and constructing a portfolio using python.
You will use Python to optimize the stock selection.
You need to be interested in trading and have a good understanding of risk management (e.g. using options to hedge).
You must have experience in backtesting investment strategies as well as risk management and be able to construct a portfolio using python.
Risk management experience
It is not essential that you come from an equities background
Extremely strong Python skills in the context of portfolio management.
Ideally you will be an EU citizen.
As this is a start up , personality -wise, you must be highly self motivated , focused and passionate about your work.
This start up can pay very well and a lot of perks will be offered. This position can lead into a PM role eventually.
Please send a PDF CV to firstname.lastname@example.org