Browse All Jobs
Schonfeld Strategic Advisors is seeking a Senior Quantitative Strategist to join their Delta One Trading team in Hong Kong. The successful candidate will collaborate directly with portfolio managers to expand trading strategies into new markets and products. He or she will be responsible for designing equity valuation models and analytics, developing infrastructure for a centralized valuation and risk calculation library, and implementing calibration, valuation, and risk calculations for Delta One products. The Senior Quantitative Strategist will also develop marking tools for dividend, repo, and index bottom-up curves. The role requires a proactive individual focused on continuous improvement, aiming to scale and automate systems.Role Involves:
  • Expanding trading strategies to new markets and products.
  • Designing equity valuation models and analytics.
  • Developing infrastructure for valuation and risk calculations.
  • Implementing calibration, valuation, and risk calculations for Delta One products.
  • Creating marking tools for dividend, repo, and index curves.
Requirements:
  • 5+ years of experience in building pricing infrastructure for Delta One products.
  • Ability to design equity valuation models and develop infrastructure from scratch.
  • Expertise in a programming language like Python.
  • Excellent communication skills.
  • Strong attention to detail and a collaborative approach.
  • Strong ownership experience and a track record of delivering results.
  • Bachelor's, Master's, or PhD in a technical or quantitative field.
Role Offers:
  • A teamwork-oriented, collaborative environment.
  • Opportunities for development and advancement.
  • An agile environment where engineers can self-organize and collaborate.
  • A culture of diversity, equity, and inclusion.
Apply

Schonfeld

Schonfeld Strategic Advisors is a multi-manager platform that allocates capital to internal and partner portfolio managers across quantitative, fundamental equity, tactical trading, and discretionary macro & fixed income strategies. With a history spanning three decades, Schonfeld leverages proprietary technology, infrastructure, and risk analytics to capitalize on market inefficiencies. The firm fosters a collaborative and inclusive environment, prioritizing talent development and diversity. Schonfeld's investment portfolio spans the Americas, Europe, and Asia, encompassing various asset classes and products, reflecting its global presence and diverse investment strategies.