G 20 Advisors Ag in Zürich seeks a mid-level Portfolio Manager/Trader to manage market-neutral crypto strategies. The role involves hands-on trading, portfolio construction, and risk control across CEX and DEX platforms, with a hybrid work model.
This is a mid-level Portfolio Manager/Trader role focused on market-neutral crypto strategies. The position requires direct ownership of portfolio construction, execution, and drawdown control within a defined risk framework, offering hands-on experience and growth potential.
Responsibilities
- Manage market-neutral funding and basis strategies across centralized and decentralized exchanges, focusing on major cryptocurrencies and liquid alternatives.
- Control position sizing, hedging, leverage, and exposure to maintain strict market neutrality and manage drawdowns.
- Monitor funding rates, futures curves, borrow costs, liquidity, and cross-venue inefficiencies; adjust risk exposure dynamically based on market conditions.
- Collaborate with risk, operations, and engineering teams to enhance order and execution management systems, automation, alerts, and real-time risk monitoring.
- Maintain institutional-grade processes including pre-trade controls, post-trade analysis, reconciliations, documentation, and audit readiness.
- Support the development of G20’s market-neutral trading platform by refining existing strategies and evaluating new opportunities.
Requirements
- Degree in Quantitative Finance, Mathematics, Computer Science, Statistics, or a related quantitative field; top-tier university preferred.
- Minimum 3 years of practical experience in crypto derivatives, market-neutral, or relative-value trading.
- Proven track record of managing funding-rate or basis strategies with real capital and disciplined risk controls.
- Solid grasp of perpetual futures mechanics, futures term structure, liquidation behavior, and margin optimization.
- Experience working with execution systems and data; ability to collaborate with quantitative and engineering teams.
- Familiarity with institutional custody and collateral frameworks such as Fireblocks, Copper, or Anchorage.
- Ability to remain composed during market volatility, follow structured processes, and operate within set risk boundaries.
- Clear communication skills to convey strategy, risk, and performance to internal stakeholders.
Nice to have
- Experience in statistical arbitrage, volatility arbitrage, trend-following overlays, or multi-strategy market-neutral trading.
- Background in regulated, audited, or institutional client environments.
- Understanding of both centralized (CeFi) and decentralized (DeFi) market structures.
About the company
G-20 Group is a leading cross-asset trading firm established in 2010, active in delta-one and derivatives markets. It provides liquidity solutions, treasury management, and institutional advisory services, supported by a global team across EMEA, Americas, and APAC.
- Established in 2010 as a cross-asset trading firm.
- Offers liquidity, treasury, and advisory services to institutional clients.
- Global presence with teams in EMEA, Americas, and APAC.
- Focus on innovation and excellence in financial markets.
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