
Posted a day ago
Portfolio Manager
DV TradingPortfolio Manager
Requirements
2+ years experience at prop firm, hedge fund, or bank, Demonstrated profitable trading strategy, Proven live performance track record, Strong return on capital (ROC), Experience leading trading teams
Skills
risk managementQuantitative Analysis
About the role
Responsibilities
- Independently manage and scale a proprietary trading strategy
- Develop, refine, and optimize models, signals, and execution frameworks
- Take full ownership of risk, positioning, and P&L
- Leverage DV’s technology, infrastructure, and support to expand your book
- Collaborate with traders, quants, and engineers to enhance strategy performance
Requirements
- Minimum 2+ years of experience at a proprietary trading firm, hedge fund, or bank
- Demonstrated, consistently profitable trading strategy (all asset classes considered)
- Proven track record of live performance (beyond backtesting)
- Strong return on capital (ROC)
- Experience contributing to or leading successful trading teams
- Ability to communicate effectively across functions, including leadership, risk, compliance, engineering, and legal
About the Company
Founded 20 years ago and headquartered in Chicago, the DV Group of financial services firms has grown to more than 600 people operating throughout North America, Europe and Asia. DV Trading is an independent proprietary trading firm utilizing its own capital, trading strategies, and risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users.
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DV Trading · London
