About EG
Engineers Gate (EG) is a leading investment manager founded in 2014 as a quantitative computer-driven trading firm. Today EGoperatesas a diversified multi-strategy investment platform that combines systematic research with selective discretionary approaches.
EGs multi-manager platform allows independent investment teams to pursue distinct strategies whilebenefitingfrom shared infrastructure risk management and operational support. The firms collaborative groups of researchers engineers and investment professionals deploy sophisticated statistical models proprietary technology and a centralized data platform to isolate and solve challenging problem sets in the global financial markets.
About The Role
As part of the global trading and operations team the Trader will play a pivotal role in leading securities financing activities across Asia including securities borrowing/lending and stock loan recalls as well as trade execution for listed and OTC products with a particular emphasis on China. This role requires a technically strong process-driven professional with solid financingexpertisewho is comfortable in fast-moving communicationskills and the ability to build effective working relationships across execution portfolio management and financing counterparties are vital.
Key Responsibilities
- Support execution across China and APAC equity equity index swaps futures FX and related instruments with focus on efficient repeatable low-friction implementation. Apply strong knowledge around market microstructure liquidity and operational risk in both electronic and high-touch workflows.
- Partner closely with PMs trading Asian products and trading Asian hours delivering timely insight on borrow availability recalls and recall risk financing levels index hedge construction and execution trade-offs and considerations that directly inform portfolio management teams.
- Build out and manage securities borrowing and lending activities for China A-shares and broader Asian markets including sourcing maintaining and monitoring borrows; proactively managing recalls; coordinating with PMs traders managers operations team and counterparties to preserve continuity and minimize execution and portfolio disruption; and creating reporting for management and risk oversight.
- Actively monitor stock loan equity financing and index hedging markets to identify price dislocations tightening risk and optimization opportunities applying a disciplined process-driven and model-aware manner approach to financing and hedge outcomes.
- Develop and maintain strong relationships with prime brokers and lending counterparties using market color performance feedback and analysis on inventory to improve availability pricing and operational efficiency across securities lending and related financing products.
- Collaborate with global trading teams portfolio finance and operations members to support day-to-day execution financing workflows and operational oversight across China and APAC ensuring alignment across regions and time zones.
- Drive continuous improvement of trading as well as financing infrastructure and reporting contributing ideas and improvements to tooling process and workflows with an emphasis on automation scalability and reduced execution and financing friction.
- Support regional initiatives and ad hoc projects including the launch of new PMs strategies products market/region expansions providing hands-only implementation onboarding and expertise where needed.
Required Skills Qualifications and Experience
- 710 years of relevant experience within sell-side or buy-side investment management. Ideally in portfolio finance securities lending or similar equity execution related roles.
- Bachelors degree or directly transferrable and applicable professional experience.
- Strong hands-on experience in Asian equity financing equity index financing recalls and stock loan markets required. Familiarity in China A-shares strongly preferred.
- Solid understanding of Prime Brokerage equity finance products and regional market structure required. Awareness of regulatory considerations is a plus.
- Experience supporting systematic or quantitative equity strategies is preferred.
- Process-driven mindset with a strong appreciation for operational robustness controls and repeatability.
- Strong analytical skills and attention to detail required. Experience with SQL data analysis tools or reporting workflows is desirable but not strictly required.
- Proficiency in Excel and Bloomberg as well as exposure to Python or trading / execution frameworks is a plus.
- Ability to operate effectively in a dynamic high-pressure environment with multiple stakeholders and competing priorities.
- Strong sense of ownership accountability and urgency.
- Clear confident communicator with the ability to build effective working relationships across portfolio management trading operations and counterparties.
- Compliance- and control-conscious with the ability to operate within established policies and frameworks.
About EGEngineers Gate (EG) is a leading investment manager founded in 2014 as a quantitative computer-driven trading firm. Today EGoperatesas a diversified multi-strategy investment platform that combines systematic research with selective discretionary approaches.EGs multi-manager platform allows ...
About EG
Engineers Gate (EG) is a leading investment manager founded in 2014 as a quantitative computer-driven trading firm. Today EGoperatesas a diversified multi-strategy investment platform that combines systematic research with selective discretionary approaches.
EGs multi-manager platform allows independent investment teams to pursue distinct strategies whilebenefitingfrom shared infrastructure risk management and operational support. The firms collaborative groups of researchers engineers and investment professionals deploy sophisticated statistical models proprietary technology and a centralized data platform to isolate and solve challenging problem sets in the global financial markets.
About The Role
As part of the global trading and operations team the Trader will play a pivotal role in leading securities financing activities across Asia including securities borrowing/lending and stock loan recalls as well as trade execution for listed and OTC products with a particular emphasis on China. This role requires a technically strong process-driven professional with solid financingexpertisewho is comfortable in fast-moving communicationskills and the ability to build effective working relationships across execution portfolio management and financing counterparties are vital.
Key Responsibilities
- Support execution across China and APAC equity equity index swaps futures FX and related instruments with focus on efficient repeatable low-friction implementation. Apply strong knowledge around market microstructure liquidity and operational risk in both electronic and high-touch workflows.
- Partner closely with PMs trading Asian products and trading Asian hours delivering timely insight on borrow availability recalls and recall risk financing levels index hedge construction and execution trade-offs and considerations that directly inform portfolio management teams.
- Build out and manage securities borrowing and lending activities for China A-shares and broader Asian markets including sourcing maintaining and monitoring borrows; proactively managing recalls; coordinating with PMs traders managers operations team and counterparties to preserve continuity and minimize execution and portfolio disruption; and creating reporting for management and risk oversight.
- Actively monitor stock loan equity financing and index hedging markets to identify price dislocations tightening risk and optimization opportunities applying a disciplined process-driven and model-aware manner approach to financing and hedge outcomes.
- Develop and maintain strong relationships with prime brokers and lending counterparties using market color performance feedback and analysis on inventory to improve availability pricing and operational efficiency across securities lending and related financing products.
- Collaborate with global trading teams portfolio finance and operations members to support day-to-day execution financing workflows and operational oversight across China and APAC ensuring alignment across regions and time zones.
- Drive continuous improvement of trading as well as financing infrastructure and reporting contributing ideas and improvements to tooling process and workflows with an emphasis on automation scalability and reduced execution and financing friction.
- Support regional initiatives and ad hoc projects including the launch of new PMs strategies products market/region expansions providing hands-only implementation onboarding and expertise where needed.
Required Skills Qualifications and Experience
- 710 years of relevant experience within sell-side or buy-side investment management. Ideally in portfolio finance securities lending or similar equity execution related roles.
- Bachelors degree or directly transferrable and applicable professional experience.
- Strong hands-on experience in Asian equity financing equity index financing recalls and stock loan markets required. Familiarity in China A-shares strongly preferred.
- Solid understanding of Prime Brokerage equity finance products and regional market structure required. Awareness of regulatory considerations is a plus.
- Experience supporting systematic or quantitative equity strategies is preferred.
- Process-driven mindset with a strong appreciation for operational robustness controls and repeatability.
- Strong analytical skills and attention to detail required. Experience with SQL data analysis tools or reporting workflows is desirable but not strictly required.
- Proficiency in Excel and Bloomberg as well as exposure to Python or trading / execution frameworks is a plus.
- Ability to operate effectively in a dynamic high-pressure environment with multiple stakeholders and competing priorities.
- Strong sense of ownership accountability and urgency.
- Clear confident communicator with the ability to build effective working relationships across portfolio management trading operations and counterparties.
- Compliance- and control-conscious with the ability to operate within established policies and frameworks.
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