This page was automatically translated and may contain errors. View in English.
Flynn and Chase

Equity Long/Short Trader - Hedge Fund - Flexible Location

Flynn and Chase

London Area, United Kingdom · À temps plein

Soyez le premier à postuler

Expérience
2 à 5 ans
Salaire
Ouvertures
1
Publié
il y a 4 semaines
Mode de travail
Au bureau
Admissibilité
Candidates with 2 to 5 years of experience in equity long/short investing, multi-manager or single-manager hedge funds, or top-tier sell-side equity research may apply. The role is best suited to individuals with a verifiable trading record and a strong fundamental investment mindset.
CV
Candidature requise

Votre lieu de travail

Description de l'emploi

Role overview

A leading global hedge fund is growing its equity long/short platform and is looking for highly analytical, idea-led traders ranging from Associate level up to established Portfolio Managers. The position is for a pod on a global equities book, with a focus on fundamental long/short investing, single-name alpha generation, and market-neutral portfolio construction.

Location flexibility

The employer is open to a range of candidate locations for the right profile. Relocation support and alternative hub-based setups may be considered.

Why this opportunity stands out

  • The firm is a large multi-strategy hedge fund with tens of billions in assets under management across equities, macro, fixed income, and commodities.
  • Compensation is among the most competitive in the market, with uncapped payouts that are directly tied to individual performance and trading P&L.
  • Strong risk, data, and execution systems are already in place, allowing traders to focus on generating returns.

What the firm is seeking

  • 2 to 5 years of experience in equity long/short at a multi-manager platform, single-manager fund, or a top-tier equity research role on the sell side.
  • A demonstrable track record, ideally with an audited or verifiable P&L history and a minimum 1.5 Sharpe ratio.
  • A disciplined fundamental approach, strong differentiated views, and careful risk management.
  • Solid financial modelling capability and the ability to manage a clean, hedged portfolio.

Additional information

This role is part of a high-performing buy-side environment and is intended for candidates who can contribute independently to alpha generation within a global equities pod structure.

Laissez ce message si vous souhaitez une réponse — nous ne l'utiliserons à aucune autre fin.

Cliquez pour parcourir, glisser-déposer, ou coller une capture d'écran

PNG, JPG, GIF, MP4, WebM, MOV · 20 Mo maximum par fichier · Jusqu'à 5 fichiers

🤖
En ligne · Aide IA instantanée