About the Role
We are seeking a C++ Developer to join our hedge fund, focusing on the development of Order and Execution Management Systems (OEMS) or Portfolio Management Systems (PMS). The role requires a strong C++ background and a solid understanding of financial markets and trading systems.
Responsibilities
- Develop and maintain high-performance C++ applications for OEMS or PMS platforms.
- Collaborate with cross-functional teams to design, implement, and test new features.
- Optimize existing code for performance and scalability.
- Troubleshoot and debug issues to ensure smooth operation of the systems.
- Participate in code reviews and provide constructive feedback to team members.
- Keep up to date with industry trends and best practices in software development.
Requirements
- Bachelor’s degree in computer science, electronic engineering or similar engineering background.
- At least 3 years proficiency in C++ programming well versed in modern C++ design principles.
- Experience working in the development of OEMS or PMS platforms is highly preferred.
- Knowledge of financial markets, trading algorithms, and FIX protocol.
- Familiarity with databases, data structures, and software development tools.
- Strong analytical and problem-solving skills.
- Excellent communication, presentation, interpersonal and teamwork abilities.
- A keen interest and understanding of the financial markets and hedge fund strategies.
- Experience developing distributed systems.
Skills
- C++ programming
- Modern C++ design principles
- Financial markets
- Trading systems
- OEMS
- PMS
- FIX protocol
- Databases
- Data structures
- Software development tools
- Distributed systems
Location
- Tokyo
Work Type
- Full-time
- Onsite
Experience Level
- 3+ years
Education Level
- Bachelor’s degree in computer science, electronic engineering or similar engineering background
Benefits
- Prime Location: Centrally located office space in the heart of Tokyo.
- High-Growth: Opportunity to learn and develop skills within a team of ambitious professionals.
- Global exposure: Work with teams across 10 offices in the region.
About the Company
- Polymer Capital Management is a market-neutral, multi-manager investment platform based in and focused on Asia.
- Polymer combines established institutional support and deep knowledge of local financial markets with a dedication to discovering and developing the region's best investment talent.
- Polymer was established in conjunction with PAG, one of the world's largest Asia-focused alternative asset managers, in 2019.
Equal Opportunity
- We celebrate diversity and are committed to creating an inclusive environment for all employees.
