Head of Liquid Portfolio Management
Quick Summary
Strategic Portfolio Oversight Develop and implement strategies for managing the liquid portfolio to maximize returns while ensuring liquidity and risk management. Monitor and analyze market trends to inform investment decisions.
Responsibilities
~1 min readDevelop and implement strategies for managing the liquid portfolio to maximize returns while ensuring liquidity and risk management.
Monitor and analyze market trends to inform investment decisions.
Maintain a balanced portfolio that aligns with the company's overall financial goals and risk tolerance.
Identify, evaluate, and execute investment opportunities in liquid asset classes (e.g., equities, fixed income, cryptocurrencies, derivatives).
Conduct due diligence on potential investments, assessing risks, returns, and market implications.
Make tactical adjustments to the portfolio in response to market conditions.
Establish and oversee frameworks for managing portfolio risk, including market, credit, and liquidity risks.
Develop contingency plans to address potential adverse market scenarios.
Regularly review and update the risk management strategy in line with market developments and company objectives.
Track portfolio performance against benchmarks and targets, providing detailed reports to senior management.
Communicate insights and recommendations on portfolio adjustments and market developments.
Develop dashboards and tools for real-time performance tracking.
Build and lead a high-performing team for portfolio analysis, investment execution, and risk assessment.
Collaborate with finance, compliance, and other departments to ensure alignment of portfolio strategies with broader organizational goals.
Act as a mentor to junior team members, fostering professional growth and development.
Ensure optimal liquidity levels to support operational and strategic needs.
Develop policies for cash flow forecasting and liquidity planning.
Oversee the allocation of funds between liquid assets and other strategic investments.
Requirements
~1 min readAt least 5+ years of experience in managing liquid portfolios across multiple asset classes (equities, fixed income, cryptocurrencies, derivatives, etc.). Strong track record of delivering returns while effectively mitigating risks.
Expertise in DeFi strategies, financial instruments, and crypto market trends. Strong understanding of risk management frameworks, including crypto, market, credit, and liquidity risk assessment.
Ability to develop and execute investment strategies that align with company goals. Tactical decision-making in response to market conditions.
Proven ability to build, lead, and mentor high-performing investment teams. Experience fostering a culture of collaboration and innovation.
Hands-on experience with portfolio analytics software, risk assessment tools, and financial modeling.
Ability to effectively communicate complex financial concepts to senior management and stakeholders.
Strong presentation and reporting skills.
Nice to Have
~1 min readDeep experience in managing digital assets, DeFi investments, or blockchain-based financial products.
Deep knowledge of algorithmic trading and quantitative investment strategies.
CFA, CAIA, FRM, or other relevant financial certifications.
Location & Eligibility
Listing Details
- Posted
- February 7, 2025
- First seen
- May 6, 2026
- Last seen
- May 10, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 21%
- Scored at
- May 6, 2026
Signal breakdown
Please let cyber.fund know you found this job on Jobera.
2 other jobs at cyber.fund
View all →Explore open roles at cyber.fund.
Similar Portfolio Management jobs
View all →Browse Similar Jobs
Stay ahead of the market
Get the latest job openings, salary trends, and hiring insights delivered to your inbox every week.
No spam. Unsubscribe at any time.