Millennium Management
Execution/Index Analyst
This job is now closed
Job Description
- Req#: REQ-22570
- Handle EOD US and SOD APAC orders, FX and hedging in line with a global focused index rebalance strategy.
- Oversee and provide input to trade automation tooling as well as partnering with developers for improvements and testing.
- Collaborate with the PM and wider investment team daily in a supportive, hard-working and diligent environment.
- Working on on-the-fly index analysis requests, via python scripts and internal/external databases.
- Experience programming in Python
- Demonstrated strong experience in Excel and BBG
- Strong abstract reasoning and independent problem-solving skills
- 1-5 years working in a trading environment
- Strong motivation and willingness to learn
- Curious, ambitious, self-starter mindset who is excited in a collaborative work environment
- As soon as possible (will wait up to 4 months for exceptional candidate)
Execution/Index AnalystMillennium is a top tier global hedge fund with a strong commitment to leveraging market innovations in technology and data to deliver high-quality returns.
Job Description
Execution role for an equity index rebalance team.
Location
US based (NY or Charleston preferred)
As a first step, all candidates will be required to complete a Python Test to assess current levels.
Principal Responsibilities
Preferred Technical Skillset
Preferred Experience
Highly Valued Relevant Experience
Target Start Date
The estimated base salary range for this position is $150,000 – $200,000, which is specific to New York and may change in the future. Millennium pays a total compensation package which includes a base salary, discretionary performance bonus, and a comprehensive benefits package. When finalizing an offer, we take into consideration an individual’s experience level and the qualifications they bring to the role to formulate a competitive total compensation package.
About the company
Millennium is a global alternative investment management firm, founded in 1989, which manages $47.1 billion in assets. We seek to pursue a diverse array of investment strategies across industry sectors, asset classes, and geographies.
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