Why We're Hiring
We've developed an MVP for our hedge fund and partially identified the processes and reporting structures needed for sustainable growth. We're looking for someone with experience building these systems to take our operations to the next level. With the right foundation, we can scale our fund by an additional $5-10 million, depending on interim results. Currently, we manage $1.75 million in assets.
Ideal Candidate
Experience: Minimum of 4 years in capital management across crypto, equities, and real estate.
Capital Management: Proven experience managing assets of $2 million or more.
Fund Development: Experience in building a fund from scratch in a management role.
Education: Background in finance.
Language: English proficiency at B2 level or higher preferred, plus native-level proficiency in Ukrainian or Russian.
Availability: Open to starting part-time with the potential to move to full-time.
About our client
The company specializes in investment and speculation in the Web3 space. Our goals include:
Building a Web3 Incubator: To foster innovation in the space.
Experimenting with AI Agents: Testing revenue hypotheses through AI development.
Structuring Our Company: Establishing HR, finance, and legal departments.
The company is a small startup with 10 team members. Our goal is to grow into a profitable investment company with up to 100 employees, where quality trumps quantity.
Responsibilities
Market Research: Analyze market trends to develop and implement investment strategies.
Strategy Development: Formulate and approve investment strategies considering market conditions, trends, and risks.
Risk Management: Assess and manage financial risks.
Market Monitoring: Continuously monitor the market and adjust strategies and portfolios as needed.
Team Management: Hire, build, and manage a high-performing team.
Process Development: Create and manage investment portfolio processes, including asset allocation.
Stakeholder Engagement: Collaborate with key stakeholders to discuss strategies, outcomes, and provide regular reports on fund activities.
Reporting & Transparency: Establish and maintain reporting standards and transparency requirements for investors.
Required Skills
Financial Markets Expertise: In-depth knowledge of financial markets, including equities, fixed income, derivatives, and alternative investments like Web3.
Quantitative Analysis: Proficiency in quantitative analysis, using mathematical models and statistical methods.
Financial Analysis: Ability to analyze financial statements, assess investment projects, and understand balance sheets and income statements.
Forecasting: Skill in analyzing data and trends to produce accurate market and asset forecasts.
Risk Management: Experience in identifying, assessing, and mitigating financial risks.
Regulatory Knowledge: Awareness of laws and regulations governing financial markets and investment activities.
Collaboration Tools: Experience with tools like Notion, Google Workspace, Slack, 1Password, and Miro for effective team collaboration.
Interested candidates who meet the above criteria are encouraged to apply. This is an opportunity to play a pivotal role in the growth and success of a dynamic Web3-focused fund.
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