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Farther

Quantitative Portfolio Manager

Reposted 18 Days Ago
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Remote
Hiring Remotely in USA
Senior level
Remote
Hiring Remotely in USA
Senior level
Seeking an experienced Quantitative Portfolio Manager to build fixed income products and strategies, support multi-asset class portfolios, and drive innovation through automation.
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Company Description

Farther is a rapidly growing RIA that combines expert advisors with cutting-edge technology - delivering a comprehensive, tailored wealth management experience.

Farther’s founders are leaders and innovators from the private wealth industry who possess a unique blend of traditional wealth management, fintech, and technology production expertise. We’re backed by top-tier venture capital firms, fintech investors, and industry leaders.

Joining Farther means joining a collaborative team of entrepreneurs who are passionate about helping their clients and our teammates achieve more. If you’re the type who breaks through walls to get things done the right way, we want to build the future of wealth management with you.

The Role 

We're seeking an experienced Quantitative Portfolio Manager to serve as a versatile strategist across our investment platform. This role will focus on building fixed income products and strategies, while also supporting multi-asset class portfolio development. The ideal candidate will bring strong technical skills, deep fixed income expertise, and the ability to design processes that can be automated.

Your Impact 
  • Design and implement fixed income strategies and multi-asset class portfolio solutions, including maintenance, reallocation, and collateral management
  • Lead fixed income initiatives while supporting other asset classes including alternatives, active strategies, and model portfolios
  • Create regular commentary and maintain inputs for fact sheets and other investment strategy collateral
  • Build systematic investment processes that can be automated at the individual asset class level
  • Collaborate with product and engineering teams to build solutions for accessing data and running algorithms
  • Partner with internal teams to articulate investment approaches and portfolio decisions
  • Drive innovation with a strong sense of ownership and proactive communication
The Ideal Match 
  • 8+ years of experience at a mid-sized, systematically-oriented asset management firm
  • Deep fixed income expertise with experience in corporate credit, duration management, and yield curve positioning
  • Robust technical skill set, including Python coding for building products, data access, and algorithm implementation
  • Experience designing upstream processes that can be successfully automated
  • Strong internal communication skills and ability to drive projects forward with ownership
  • Expertise in portfolio construction, risk management, and quantitative methods
  • Experience with portfolio analytics tools
  • Bachelor's degree required; advanced degree in relevant field preferred
  • CFA designation preferred
Bonus Points 
  • Experience with alternatives and active strategies
  • Multi-asset class portfolio construction experience
  • Experience launching and scaling new investment strategies
  • Track record of building automated investment systems
  • Expertise in data access and management
Why Join Us
  • Competitive comp package that rewards impact
  • Work alongside some of the brightest minds in fintech
  • Ground-floor opportunity at a fast-scaling startup
  • Chart your own growth path as we expand
  • Full health benefits + 401(k) matching & Roth IRA options
  • Unlimited PTO
Ready to disrupt wealth management? Let's talk!

Top Skills

Python

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