About the Company
A globally recognized multi-strategy hedge fund with global operations is seeking an experienced Refined Products Trader to serve as Portfolio Manager. Ideal candidates will have a derivatives trading background with demonstrable P&L within refined products such as light ends, gasoline, distillates, or similar.
Competitive salary, market leading bonus percentage payout, and equity in the fund to be considered on a case-by-case basis for suitable candidates.
About the Role
Overview: Excellent track record in risk-taking and P&L generation, with demonstrated success within the Gasoline Trading markets. Candidates with track record of £20-75million+ in annual discretionary trading P&L preferred. Focus on financial trading however a strong understanding of physical commodity markets would be helpful. Develop and execute actionable speculative trading commodity strategies where you will be responsible for portfolio construction, risk management, trading strategy, and P&L accountability. Work closely with colleagues to devise and execute strategies, including collaboration with fundamental and quantitative analytics, data scientists, and junior trading members. Monitor portfolio risk. Manage and lead junior members of the team.
Responsibilities
- P&L track record with experience within a trading house, oil major, investment bank, hedge fund, asset manager, or related trading environment
- Relevant educational background
- Ability to demonstrate keen portfolio risk and operational awareness
- Outstanding analytical skills with a proven ability to function efficiently and problem-solve in a fast paced and time-critical environment
- Strong analytical and organizational skills