About the job Portfolio Manager – Digital Asset Fund (Liquid Portfolio Launch)
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About Your Company
King Deux is partnering with a dynamic digital asset fund in launching a new liquid portfolio and seeks an experienced Portfolio Manager or proprietary trader to design and execute high-performance strategies across cryptocurrencies and tokenized assets.
About your role
Develop and manage a liquid digital asset portfolio, focusing on strategies like market-making, arbitrage, momentum trading, and yield optimization across spot, derivatives, and DeFi protocols.
Execute proprietary trading strategies in BTC, ETH, altcoins, stablecoins, and emerging digital assets with real-time risk management.
Analyze on-chain data, market microstructure, and macro trends to refine alpha-generating models and position sizing.
Collaborate with risk, research, and quant teams to backtest, deploy, and monitor strategies on major exchanges (Binance, OKX, Bybit, etc.).
Optimize execution, liquidity sourcing, and hedging across centralized and decentralized venues.
Contribute to fund-level decisions on new asset onboarding, leverage, and portfolio construction for the liquid vehicle.
What you will need to succeed
5+ years as a PM, prop trader, or market-maker in digital assets, crypto trading desks, or hedge funds with a live track record (P&L verifiable).
Proven strategy expertise in liquid digital asset markets (e.g., stat arb, funding rate arb, perps delta-neutral, cross-exchange alpha).
Deep proficiency with trading infrastructure: APIs, HFT/low-latency execution, on-chain analytics (Dune, Nansen), and Python/R for modeling.
Strong risk framework: VaR, drawdown controls, liquidity stress testing, and familiarity with crypto-specific risks (exchange, smart contract, oracle).
Experience at a digital asset fund, prime broker, or prop shop
How to Apply
Interested parties, please send your CV directly to y@kingdeux.com or apply directly.
Please note that only shortlisted applicants will be contacted.