About G20 Group
G-20 Group is a leading cross-asset trading firm active in delta-one and derivatives markets. Established in 2010, G-20 offers liquidity solutions, treasury management, and institutional advisory services. We are supported by an outstanding team of professionals, with a robust global presence in EMEA, Americas, and APAC.
Role Overview
We are hiring a mid-level Portfolio Manager / Trader to own and operate market-neutral crypto strategies - primarily funding arbitrage, basis trades, calendar spreads, and cross-venue relative value - across centralized and decentralized venues. You will be responsible for day-to-day portfolio construction, execution, and drawdown control, working under a defined risk framework and supporting institutional SMA and fund mandates. This is a hands-on PM and trading role with clear ownership and room to grow.
Key Responsibilities
- Run and manage market-neutral funding and basis books across CEX and DEX venues, primarily in majors and liquid alts.
- Own position sizing, hedging, leverage, and exposure management, maintaining strict market neutrality and drawdown discipline.
- Actively monitor funding regimes, futures curves, borrow costs, liquidity, and cross-venue dislocations; scale, rotate, or shut down risk as conditions change.
- Partner closely with risk, operations, and engineering to improve OMS/EMS workflows, automation, alerts, and real-time risk monitoring.
- Maintain an institutional-grade process: pre-trade controls, post-trade analysis, reconciliations, documentation, and audit readiness.
- Contribute to the evolution of G20’s market-neutral platform, including strategy refinement and new opportunity assessment.
Requirements
- Degree in Quantitative Finance, Mathematics, Computer Science, Statistics, or a related quantitative discipline; top-tier university preferred.
- 3+ years of hands-on experience in crypto derivatives, market-neutral, or relative-value trading.
- Demonstrated experience running funding-rate and/or basis strategies with real capital and disciplined risk management.
- Strong understanding of perpetual mechanics, futures term structure, liquidation dynamics, and margin optimization.
- Comfortable working with execution systems and data; able to collaborate effectively with quants and engineers.
- Experience with institutional custody and collateral frameworks (e.g. Fireblocks, Copper, Anchorage, or equivalent).
- Calm under volatility, process-driven, and comfortable operating within defined risk limits.
- Clear communicator with the ability to explain strategy, risk, and performance to internal stakeholders.
Preferred / Desirable Experience
- Experience in stat arb, volatility arbitrage, trend-following overlays, or multi-strategy market-neutral pods.
- Prior exposure to regulated, audited, or institutional client environments.
- Familiarity with both CeFi and DeFi market structure.
Location and Right to Work : This role will be based in New York, Zurich or London. Only candidates who reside in and possess the pre-existing right to work in the US, Switzerland or the UK without needing company sponsorship need apply. Trading access and setup will align with regulatory, exchange, and operational constraints.
Join G-20 and be a part of a team that is at the forefront of financial markets, driving innovation and excellence in the sector.
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