Strategist at Schonfeld

São Paulo, State of São Paulo, Brazil

Schonfeld Logo
Not SpecifiedCompensation
Mid-level (3 to 4 years), Senior (5 to 8 years)Experience Level
Full TimeJob Type
UnknownVisa
Finance, Quantitative Trading, Hedge FundIndustries

Requirements

  • Strong Python skills
  • Experience developing equity or rates derivative models in enterprise settings
  • Experience in risk platform application and understanding
  • Experience working with PM, quant and research functions
  • Experience with Delta-1 equity business preferred
  • Excellent communication skills, both written and verbal
  • Strong ownership experience and a track record of delivering results

Responsibilities

  • Support portfolio managers and traders in building out pricing tools
  • Rationalize risk and analytics
  • Develop a centralized library for valuation
  • Equity product modelling and risk representation
  • Dividend, funding and rates parameter modelling and calibration
  • Address Portfolio Manager led pricing and analytics problems
  • Strategy design and back-testing analytics
  • Risk engine and platform development

Skills

Python
Equity Modelling
Rates Derivatives
Risk Analytics
Back-testing
Pricing Tools
Risk Platform
Delta One

Schonfeld

Multi-manager investment platform for diverse strategies

About Schonfeld

Schonfeld Strategic Advisors is a multi-manager investment platform that invests capital with internal and partner portfolio managers across four main strategies: quantitative, fundamental equity, tactical trading, and discretionary macro & fixed income. The firm provides portfolio managers with the autonomy and support needed to maximize their business potential while leveraging proprietary technology and risk analytics to identify market opportunities. Schonfeld serves institutional investors and high-net-worth individuals, focusing on generating returns through strategic investments and effective risk management. Its goal is to capitalize on market inefficiencies and expand its investment strategies globally.

New York City, New YorkHeadquarters
1988Year Founded
$1,464MTotal Funding
VENTURE_UNKNOWNCompany Stage
Quantitative Finance, Financial ServicesIndustries
201-500Employees

Benefits

Performance Bonus
Professional Development Budget

Risks

Departure of key Asia personnel may disrupt regional operations and growth.
New stakes in various companies expose Schonfeld to market volatility and sector risks.
New CTO appointment may lead to strategic shifts impacting current operations.

Differentiation

Schonfeld invests in diverse strategies: quantitative, fundamental equity, tactical trading, and macro.
The firm leverages proprietary technology and risk analytics for market opportunities.
Schonfeld offers global exposure across Americas, Europe, and Asia with multiple asset classes.

Upsides

AI-driven trading enhances Schonfeld's quantitative strategies and risk analytics.
Thematic ETFs in tech and healthcare offer high-growth investment opportunities for Schonfeld.
Alternative data integration provides Schonfeld competitive advantages in market insights.

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