G-20 Group

Portfolio Manager/Trader - Market Neutral (Crypto)

G-20 Group

The G-20 Group is a global quantitative trading firm, headquartered in Switzerland with offices in UK, Singapore and US.

Competitive Salary

London, United Kingdom (Onsite)

Finance, Legal & Compliance

Mid-Level

51-200 employees

Last updated 2025-12-14T06:03:30.625Z

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About the role

Overview

We are hiring a mid-level Portfolio Manager/Trader for our New York Office to lead strategy, execution, and day-to-day risk management of our market neutral strategies, primarily funding arbitrage, basis, calendars, and cross-exchange relative value.

Skills

Strategy Communication Data Analysis Leadership Stakeholder Management

Candidate requirements

These are the minimum requirements a candidate must meet to be considered for this role.

  • Degree in Quantitative Finance, Mathematics, Computer Science, Statistics, or a related quantitative field.
  • 5+ years (or equivalent depth) in crypto derivatives or market neutral/relative value trading.

About G-20 Group

The G-20 Group is a pioneer in Quantitative Trading systems in cross-asset markets. Headquartered in Switzerland, we operate at the intersection of Quantitative Research, Software Engineering and Trading. The team combines a startup mindset with extensive experience in proprietary Trading, Technology and Quantitative Finance.

Head office

Zug, Zug, Switzerland

Company score (5)

Most candidates are reviewed quickly

Funding

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$4M - Seed

June 2024

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$2.5M - Seed

July 2024

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$10M - Seed

September 2024

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$9M - Series A

October 2024