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schonfeld
Страна
США
Зарплата
200 000 $ – 300 000 $
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DirectorВ офисеПолная занятость

Director of Risk & Portfolio Advisory – US Fundamental Equity

Оценка ИИ

Престижная позиция в одном из ведущих мировых хедж-фондов с прозрачной структурой вознаграждения и высоким уровнем влияния на бизнес. Отличные возможности для профессионального роста в среде с сильной технологической базой.


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Сложность вакансии

ЛегкоСложно
Оценка ИИ

Роль требует исключительного сочетания глубоких знаний финансовых рынков, математической подготовки и навыков программирования. Высокий уровень ответственности за управление рисками в крупном хедж-фонде предполагает наличие многолетнего опыта работы с дискреционными стратегиями.

Анализ зарплаты

Медиана250 000 $
Рынок210 000 $ – 320 000 $
Оценка ИИ

Указанный диапазон базового оклада ($200k-$300k) полностью соответствует рыночным стандартам для позиций уровня Director в топовых хедж-фондах Нью-Йорка. Стоит учитывать, что в данной индустрии значительную часть общего дохода составляет годовой бонус.

Сопроводительное письмо

I am writing to express my strong interest in the Director of Risk & Portfolio Advisory position at Schonfeld. With over 8 years of experience in risk management within the hedge fund industry and a deep expertise in North American fundamental equity strategies, I am confident in my ability to provide the high-level oversight and PM-facing advisory your team requires. My background in financial engineering, combined with a track record of identifying style drift and concentration risks, aligns perfectly with Schonfeld’s commitment to risk-adjusted returns.

Throughout my career, I have excelled at bridging the gap between complex quantitative risk models and discretionary investment decisions. I am highly proficient in Python and R, and I have extensive experience utilizing multi-factor equity models to diagnose performance attribution and optimize portfolio construction. I am particularly drawn to Schonfeld’s collaborative culture and its reputation for leveraging proprietary technology to drive performance. I look forward to the possibility of contributing to your risk management team and helping PMs navigate evolving market dynamics.

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Присоединяйтесь к лидеру индустрии хедж-фондов и управляйте рисками крупнейших портфелей в Нью-Йорке!

Описание вакансии

Director of Risk & Portfolio Advisory – US Fundamental Equity

The Role

We are seeking an exceptionally talented individual to join our Risk Management team as a Director of Risk & Portfolio Advisory for our North American fundamental equity strategies, with primary responsibility for both portfolio oversight and PM-facing risk coverage.

This individual will be the point person for all risk-related matters for fundamental equity portfolio managers in the region, including researching ad hoc requests from investment professionals and senior management. They will work to identify forward-looking risks or sources of stress in portfolios and to set appropriate risk budgets for them, as well as engaging with PMs to understand risk/reward dynamics.

This person will dual report to the Head of U.S. Fundamental Equity and the Chief Risk Officer.

What you’ll do

The Director of Risk & Portfolio Advisory will be primarily responsible for daily oversight of the North American discretionary equity portfolios, including monitoring portfolios for style drift, identifying and remediating outsized concentration risks or stress exposures, and researching risk and portfolio construction inquiries from investment teams and firm management. You will be responsible for analyzing performance attribution to quickly diagnose problems and enable risk takers to react opportunistically to adverse events and to leverage those insights towards capital allocation recommendations.

A successful candidate will utilize interactions with and feedback from investment professionals to help direct enhancements to our proprietary analytics, as well as assist with ongoing education efforts around the various outputs from our monitoring tools to ensure they are effectively incorporated into the investment process. You will regularly engage with risk takers around the active management of drawdowns and sub-optimal portfolio construction decisions.

This individual will also be responsible for formulating appropriate forward-looking views for escalation to firm management as well as staying abreast of ongoing market dynamics that may impact our strategies.

What you’ll bring

What you need:

  • A degree in statistics/econometrics, mathematics or financial engineering
  • 7-10 years of experience in a similar role at a hedge fund
  • Prior experience with discretionary equity strategies
  • Exceptional problem solving and analytical skills
  • In-depth knowledge of equity multi-factor equity models and applications
  • Proficiency with procedural programming (R/Python)
  • Strong communication skills and the ability to explain technical concepts to non-technical audiences

Who we areSchonfeld Strategic Advisors is a global multi-strategy, multi-manager investment platform that harnesses the transformative power of people to perform in all market environments. Our dynamic culture inspires better outcomes for our team, our investors, and our partners. We aim to consistently deliver risk-adjusted returns, with people driving performance.

We specialize in four core strategies: Quantitative Trading, Fundamental Equity, Tactical Trading, and Discretionary Macro & Fixed Income. We capitalize on inefficiencies and opportunities within the markets, drawing from a significant investment in proprietary technology, infrastructure, and risk analytics.

We invest through internal portfolio managers and external partner funds, pursuing alignment among investors, investment professionals, and the firm. Our footprint spans 7 countries and 19 offices.

Our CultureTalent is our strategy. We believe our success is because of our people, so putting our talent above all else is our top priority. We are teamwork-oriented, and collaborative, and encourage ideas—at all levels—to be shared. As an organization committed to investing in our people, we provide learning & educational offerings and opportunities to make an impact.

We foster a sense of belonging among all of our employees with Diversity, Equity, and Inclusion at the forefront of this mission. Our employees value diversity across identity, thought, people, and perspective which serves as the foundation of our culture. As a firm, we are committed to creating a hiring process that is fair, welcoming, and supportive.

The base pay for this role is expected to be between $200,000 and $300,000. The expected base pay range is based on information at the time this post was generated. This role may also be eligible for other forms of compensation such as a performance bonus and a competitive benefits package. Actual compensation for the successful candidate will be determined based on a variety of factors such as skills, qualifications, and experience.

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Навыки

  • Python
  • Risk Management
  • Statistics
  • R
  • Portfolio Construction
  • Hedge Funds
  • Econometrics
  • Financial Engineering
  • Performance Attribution
  • Equity Multi-factor Models

Возможные вопросы на собеседовании

Проверка способности кандидата выявлять скрытые риски в портфелях фундаментальных акций.

Опишите ваш процесс выявления 'style drift' (дрейфа стиля) в портфеле фундаментальных акций. Какие метрики вы считаете наиболее показательными?

Оценка технических навыков работы с факторными моделями.

Как вы используете многофакторные модели для объяснения необъяснимой доходности (alpha) и какие ограничения этих моделей вы учитываете при общении с портфельными менеджерами?

Проверка навыков коммуникации и разрешения конфликтов с инвестиционными профессионалами.

Расскажите о случае, когда вам пришлось убеждать портфельного менеджера сократить позицию из-за рисков, несмотря на его уверенность в доходности. Как вы построили аргументацию?

Оценка умения работать с данными и программировать.

Какие библиотеки Python или R вы чаще всего используете для анализа атрибуции производительности и стресс-тестирования портфелей?

Проверка понимания текущей рыночной ситуации.

Какие макроэкономические факторы сейчас представляют наибольшую угрозу для североамериканских стратегий Fundamental Equity, и как вы отражаете это в лимитах риска?

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schonfeld
Страна
США
Зарплата
200 000 $ – 300 000 $