Company Description
Unifi Asset Management is a quant-driven, credit-derivative oriented, market neutral hedge fund, based in NYC. Founded by a team of seasoned investment and operations professionals, we are dedicated to delivering exceptional value to our investors and creating an environment where our employees thrive. Our mission is clear: to serve our investors with unwavering dedication and uphold the highest standards of integrity and accountability. Equally important is our commitment to our employees – we recognize our team members are our greatest asset, which is why we are focused on fostering a supportive and collaborative environment. Join us on our journey to redefine excellence in the hedge fund industry.
Job Description:
We are seeking a motivated Trading Analyst to support our trading desk with daily processes including accurate trade capture, allocation, and risk/PNL oversight. This role offers direct exposure to a cross-asset, market-neutral, active trading framework, providing the opportunity to work closely with the PM, senior traders, and operations teams. The ideal candidate is detail-oriented with technical skills and eager to grow in a dynamic trading environment.
Responsibilities:
- Daily Trading Operations Oversight: Track and manage daily desk processes such as PNL/risk attribution, trade capture, and reconciliation
- Counterparty Interaction: Partner with brokers, prime brokers, and custodians to manage onboarding, resolve trade issues, and handle trade-related communications
- Tool Development & Integration: Build and enhance trading tools, help integrate with execution and risk management systems
- Assist with trading: Gain exposure and assist with market-neutral, cross-asset, active trading under the leadership of a PM and other seasoned traders
Requirements
- Quant trading or quant-adjacent experience is ideal, although non-quant backgrounds will also be considered
- One to two years of sell-side experience preferred
- Bachelor’s degree in mathematics, computer science, engineering, or a related field, or equivalent relevant technical experience, with a strong interest in gaining broader exposure
- Exposure to credit derivatives, fixed income, equities preferred though not required; with a strong interest in expanding product knowledge
- Motivated, determined and extremely detail oriented
- Proactive problem solver with strong root-cause analysis skills with ability to identify solutions and take full ownership of resolution
Salary Range $100,000 - $125,000 + Discretionary Bonus