Multi-Asset Execution Trader
Job Description
We are partnering with a globally recognised, systematic Hedge Fund who are seeking a Multi-Asset Execution Trader to join their team in London.The Role:Lead execution strategy, setting direction for how the team approaches execution across instruments and markets.Own day-to-day execution decisions, ensuring best execution outcomes for the firm.Manage and develop transaction cost analysis (TCA) frameworks to measure, monitor, and continuously improve execution quality.Drive execution optimisation initiatives, identifying opportunities to reduce market impact and improve fill quality.Own and evolve commodities execution processes, building scalable and repeatable workflows.Collaborate closely with portfolio managers, quant researchers, and other execution traders to align execution with portfolio-level objectives.Requirements:Proven multi asset execution background, with hands-on experience across relevant markets.Transaction cost analysis (TCA) expertise — design, interpretation, and application to execution improvement.Strong programming capability, with experience using code to support execution analysis and workflow automation.Execution and optimisation mindset.To discuss further, reach out to Laura via email;