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Experience Level
Entry Level
Qualifications
Pursuing a degree in Computer Science, Data Science, Finance, or a related field. Strong analytical skills and a passion for finance and technology. Proficiency in programming languages such as Python or R. Ability to work collaboratively in a team-oriented environment. Excellent communication skills, both verbal and written.
About the job
Join Point72 as an AI Intern in 2026, where you will work alongside leading experts in the field of long/short equities. This internship offers you the opportunity to leverage cutting-edge AI technologies to enhance investment strategies and drive data-driven decision-making in a fast-paced environment.
About Point72 Asset Management, L.P.
Point72 is a global asset management firm with a commitment to excellence and innovation in the investment landscape. We are dedicated to using advanced technology and quantitative methods to enhance our investment strategies and deliver exceptional results for our clients.
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Search for Equity Long Short Portfolio Manager New York
Full-time|$250K/yr - $250K/yr|On-site|New York, New York, United States
Company Overview: Founded in 1983, Caxton Associates is a premier global trading and investment firm with a presence in major financial hubs including London, New York, Monaco, Singapore, and Dubai. Our firm specializes in managing client and proprietary capital through diverse hedge fund strategies such as discretionary macro, systematic macro, emerging markets macro, systematic trading, equity long-short, and event-driven approaches. Our objective is to generate substantial alpha for our clients by trading across a wide array of global markets and financial instruments.The Role: We are on the lookout for seasoned Portfolio Managers with expertise in Equity Long/Short strategies. In this crucial position, you will manage a significant capital allocation while ensuring robust risk management practices across all active investments. At Caxton, we champion collaboration, encouraging ongoing discussions about global macroeconomic trends, geopolitical shifts, and market dynamics. Professionals who can distill critical insights from their investment universe to enhance the collective knowledge of the team will find an ideal environment to excel and drive alpha.Key Responsibilities: Independently manage substantial capital allocations by developing, executing, and monitoring effective Equity Long/Short strategies. Build portfolios that emphasize low net delta, balanced sector and industry exposure, and significant idiosyncratic risk attribution. Perform comprehensive market and industry analysis, alongside extensive fundamental and business cycle research. Implement rigorous risk management protocols, continually evaluating the merits of all positions and investment hypotheses. Collaborate in a global team setting, contributing to and leveraging collective insights and expertise. Maintain strict adherence to industry regulations and internal company policies.
Full-time|$250K/yr - $250K/yr|On-site|New York, New York, United States
Company Overview:Founded in 1983, Caxton Associates is a prominent global trading and investment firm with a presence in major financial hubs including London, New York, Monaco, Singapore, and Dubai. Our core business revolves around managing both client and proprietary capital through a diverse range of liquid global hedge fund strategies, such as discretionary macro, systematic macro, emerging markets macro, systematic trading, equity long-short, and event-driven approaches. With a commitment to alpha generation, we maintain a broad mandate to trade across various global markets and instruments.The Role:We are on the lookout for an accomplished Equity Long/Short Portfolio Manager with a proven track record of generating alpha in global consumer equities. In this critical position, you will be responsible for managing a substantial capital allocation and implementing robust risk management across all active investments.At Caxton, we prioritize collaboration, encouraging ongoing discussions about global macroeconomic trends, geopolitical shifts, and the dynamics of financial markets. This role is ideal for professionals who can derive significant insights from their investment universe, contribute to team discussions, and leverage collective knowledge to enhance alpha generation.Key Responsibilities:Independently oversee a significant capital allocation by developing, executing, and monitoring an Equity Long/Short strategy.Build portfolios that prioritize low net delta, balanced factor and industry exposure, and high idiosyncratic risk attribution.Conduct comprehensive market and industry research, as well as fundamental business analysis.Implement rigorous risk management practices, continuously evaluating the rationale behind all positions and investment theses.Collaborate effectively within a global team environment, sharing insights and enhancing collective expertise.Ensure compliance with all industry regulations and internal policies.
Join Point72 as an AI Intern in 2026, where you will work alongside leading experts in the field of long/short equities. This internship offers you the opportunity to leverage cutting-edge AI technologies to enhance investment strategies and drive data-driven decision-making in a fast-paced environment.
Embark on a Rewarding Career with Point72's Long/Short Equities Team At Point72, our Long/Short Equity strategy is at the heart of our operations, and its success hinges on our dedicated sector-based investing teams. Our research analysts leverage fundamental research to guide the investment strategies of our portfolio managers. With access to Point72 University, you will benefit from an unmatched training and coaching curriculum designed to foster your professional growth and success. If you are seeking a dynamic career at the cutting edge of investing, we invite you to join us. About the AI Engineer InternshipAs a member of our fundamental equity investing team, primarily focused on the technology sector, we are on the lookout for an AI Engineer Intern who will collaborate with us to develop custom software, internal tools, and workflow automations aimed at enhancing research efficiency and decision-making. This hands-on position is ideal for a student passionate about building practical tools in a fast-paced, intellectually stimulating environment. You will play a pivotal role in designing and implementing software that streamlines our daily investment processes, data management, research workflows, and team productivity. Your Responsibilities Gain valuable experience in developing internal software tools to optimize the team’s research and operational workflows. Assist in creating automations for various tasks including research, data collection, note organization, and internal reporting. Contribute to the development of applications, scripts, dashboards, and utilities for internal use. Help structure and integrate data from diverse sources into effective internal workflows. Collaborate directly with investors to identify challenges and devise practical technical solutions. Participate in rapid prototyping, iterative development based on feedback, and the deployment of tools that deliver immediate impact. Summer Internship Program at Point72 In addition to the invaluable learning and development opportunities within your team, our summer internship program offers: Mentorship from seasoned professionals and collaboration with fellow interns. Engagement in designated intern programming, volunteer initiatives, and social activities. Opportunities to attend insightful discussions with senior leaders about their expertise and career journeys. Access to top-tier tools and resources. Exposure to various groups and functions with unique perspectives on our industry. Development of technical, writing, and presentation skills.
Join Hivemind Capital as a Senior Portfolio Manager and take charge of our public equities fund's complete lifecycle. This prestigious investment role offers full P&L ownership, demanding extensive fundamental analysis skills, conviction-based capital allocation, and active execution. We are seeking a buy-side expert who excels at evaluating equity positions from inception and managing risks throughout the investment process. As a Senior Portfolio Manager, your responsibilities will include strategic analysis, capital allocation, and optimal execution to drive exceptional fund performance. Collaborate closely with our Research, Trading, and Operations teams to develop portfolio optimization frameworks and establish best practices for operational and trading execution.
Full-time|$250K/yr - $250K/yr|On-site|New York, New York, United States
Company Overview: Established in 1983, Caxton Associates is a distinguished global trading and investment firm with a presence in major financial hubs including London, New York, Monaco, Singapore, and Dubai. Our core mission is to expertly manage both client and proprietary capital across a diverse range of liquid global hedge fund strategies. This broad mandate empowers us to engage in trading across international markets and financial instruments, emphasizing alpha generation for our clientele.The Role:We are actively seeking seasoned Portfolio Managers with expertise across various strategies, including but not limited to:Discretionary MacroEmerging Markets MacroEquity Long/ShortEvent-DrivenFixed Income Relative ValueMedium-Frequency SystematicCommoditiesIn this pivotal role, you will oversee a substantial capital allocation, apply extensive risk management protocols, and thrive in our collaborative, research-focused environment. We value insightful dialogue on global macroeconomic trends, geopolitical shifts, and market dynamics. We seek professionals capable of deriving distinctive insights within their investment domains, enhancing our strategic outlook, and utilizing collective expertise to generate alpha.Key Responsibilities:Independently manage a significant capital allocation by crafting, executing, and overseeing an alpha-driven investment strategy.Build portfolios aimed at achieving asymmetric returns, with minimal correlation to conventional capital markets, by recognizing and exploiting distinctive market perspectives.Implement stringent risk management practices, consistently evaluating the validity of all positions and investment hypotheses.Engage collaboratively within a global team, sharing knowledge and adding value through shared insights and expertise.Adhere strictly to all industry regulations and internal risk management protocols.
About Man GroupMan Group is a premier global alternative investment management firm dedicated to delivering superior returns for discerning clients through our diverse Systematic, Discretionary, and Solutions offerings. Leveraging exceptional talent and cutting-edge technology, our comprehensive investment strategies encompass in-depth research and span both public and private markets across all major asset classes, with a strong emphasis on alternatives. We adopt a partnership approach with our clients, forging deep connections and developing bespoke solutions to achieve their investment objectives and those of the millions of retirees and savers they represent.Headquartered in London, we manage assets totaling $227.6 billion* and operate from multiple global offices. Man Group plc is publicly traded on the London Stock Exchange under the ticker EMG.LN and is a member of the FTSE 250 Index. For more information, please visit www.man.com* As of 31 December 2025Position ResponsibilitiesWe are looking for a motivated Analyst to join our expanding Portfolio Management group within our private credit asset management division. The primary responsibilities include monitoring the performance of 15-20 portfolio companies and providing support to deal teams on assigned investments. Additional tasks involve ensuring the accuracy and comprehensiveness of financial data on our internal platform, ongoing identification and analysis of portfolio risk trends, completing quarterly portfolio account and valuation updates, collaborating with credit rating agencies to establish and maintain credit ratings, and facilitating investor reporting workflows. This role will offer the opportunity to work closely with various departments (Underwriting, Capital Markets, Business Development, Investor Relations, Operations) and external service providers on specific tasks such as fundraising and preparing materials for Board of Directors meetings.
Full-time|$175K/yr - $175K/yr|On-site|New York, New York, United States
Company Overview:Founded in 1983, Caxton Associates is a premier global trading and investment firm with a robust presence in key financial hubs, including London, New York, Monaco, and Singapore. Our core business revolves around managing client and proprietary capital using sophisticated global macro hedge fund strategies. We engage in trading across diverse global markets and instruments, ensuring a wide-ranging investment approach.Program Overview:At Caxton Associates, we are dedicated to cultivating top-tier investment talent. Our commitment to professional growth is evident in the comprehensive two-year Associate Portfolio Manager (APM) Program, initiated in 2012. This exceptional program serves as a gateway for talented buy-side investors, distinguished sell-side traders, and elite quantitative analysts across various hedge fund disciplines, encompassing discretionary macro, systematic macro, emerging markets macro, systematic trading, equity long-short, and event-driven strategies.The APM Program provides participants with immersive experiences and intensive training, honing their investment acumen with the ultimate goal of advancing to a senior Portfolio Manager role within Caxton. Over a quarter of our current Portfolio Managers have successfully transitioned through this program, a testament to its efficacy.Candidate Requirements:We are on the lookout for candidates with 3 to 10 years of experience in asset management, hedge funds, or market making. The ideal candidate will demonstrate proficiency and preferably direct experience in implementing relevant investment strategies and understanding associated markets. We value entrepreneurial spirits who are eager to develop and expand their investment strategies. The ability to work independently while collaborating effectively with various stakeholders is essential, alongside a proven track record of continuous growth and adaptation.If you have a relentless passion for financial markets and possess a strong work ethic that aligns with the criteria outlined above, we encourage you to apply. Please submit your CV, investment track record (if available), and a detailed proposal of your investment strategy, as a comprehensive strategy outline is a crucial part of your application.We look forward to discovering your potential and welcoming your contributions to the ongoing legacy of Caxton Associates.
We are looking for an experienced Portfolio Manager who possesses a comprehensive understanding of market inefficiencies and is adept at capturing them. The ideal candidate will have significant involvement in both the research and implementation of strategies, demonstrating the ability to develop new approaches from conception to execution. The Portfolio Manager will also exhibit a solid grasp of market dynamics, leveraging this knowledge to qualitatively assess the performance of their strategies, identifying when they excel and when they encounter challenges.
Full-time|From $200K/yr|On-site|New York - Park Avenue
About General Atlantic General Atlantic is a global investment firm with over 45 years of experience. Since 1980, the firm has partnered with more than 830 companies, supporting entrepreneurs and investors focused on building businesses and long-term value. General Atlantic manages approximately $123 billion in assets, with a team of over 900 professionals in 20 countries. The platform spans Growth Equity, Credit, Climate, and Sustainable Infrastructure strategies. More details are available at www.generalatlantic.com. Role Overview: Vice President of Portfolio Management General Atlantic seeks a Vice President to join its Portfolio Management team in New York (Park Avenue), focusing on the core growth equity investment strategy. Key Responsibilities Lead analytics at both the fund and portfolio level Drive risk management processes and deliver strategic insights Work closely with senior leadership, portfolio managers, and investment teams Collaborate with cross-functional partners to monitor performance, manage risk, and optimize capital allocation Support the ongoing growth and scalability of investment strategies Qualifications Strong analytical skills and portfolio management experience Strategic thinker with a background working across multiple functions (such as Finance, Capital Solutions, Legal/Compliance, Fund Accounting, Valuations, Technology) Comfortable in a data-driven investment environment
Role Overview The City of New York is hiring a Contract Manager for the Center for Population Health Data Science Administration in Long Island City. This position supports public health initiatives by managing contracts, maintaining compliance, and streamlining operations. Main Responsibilities Oversee contract management and monitor compliance with city regulations and standards. Work closely with internal teams and external partners to improve contract outcomes and resolve issues quickly. Negotiate and execute contracts, focusing on securing favorable terms for the city. Prepare detailed reports and maintain documentation for audits and internal reviews.
About Clear Street: Clear Street is revolutionizing the brokerage landscape. Established in 2018, we are a progressive financial services firm that is replacing outdated infrastructure in capital markets. We have built a fully cloud-native clearing and custody platform designed for the complexities of today’s global market. Our system seamlessly integrates with central clearing houses and exchanges, handling billions in daily trading volume. Our focus on data model abstractions, horizontal scalability, and API design ensures that we deliver a premier experience for our clients. By combining top-tier product and engineering talent with experienced finance professionals, we are creating the foundational elements to thrive in today’s rapid-paced markets. Equity Compensation Associate We are searching for a skilled Equity Compensation Associate to assist in the administration, compliance, and reporting of our global equity compensation initiatives. This role will oversee daily equity plan operations, manage equity systems, and collaborate with HR, Legal, Payroll, and Finance to maintain accurate and compliant equity administration. The ideal candidate will possess 3-4 years of direct experience managing equity plans in both public and private company settings and will excel in a fast-paced, high-accountability environment.
About JuniorAt Junior, we are innovating the future of investment research with our state-of-the-art LLM-powered tools designed specifically for elite deal teams. Our esteemed clientele includes many of the world's top 10 global private equity firms, renowned Big 4 professional services companies, and leading consulting practices, all of which manage billions of dollars in investments annually.As a profitable and self-sustaining company, we have built a dynamic team of approximately 28 talented individuals across our offices in London and New York. We experienced a remarkable 10x revenue growth in 2025 and anticipate further expansion of 2-3x this year. Junior's solutions are saving our clients an average of 10 hours per week, and we are rapidly expanding our reach into new sectors, including investment banking, hedge funds, and research firms. The RoleInvestment banking represents a significant opportunity for Junior. With transactions ranging from $100k to $2M in annual contract value (ACV), the workflows in this sector are primed for AI-driven transformation. This position offers the chance to pioneer our entry into this market, allowing you to develop your own strategies rather than merely following a pre-existing plan.We seek an individual who can confidently engage with senior executives in top-tier banks, including Chief Compliance Officers and Chief Technology Officers. It is vital that you possess a deep understanding of how investment banks operate, recognize their challenges, and effectively communicate the advantages of our AI-powered workflow solutions to influential stakeholders who are both intrigued and cautious.Your primary goal in your first year will be to generate £2-4 million in new revenue. You will take charge of the entire sales cycle—from identifying potential accounts to closing deals—while expertly navigating complex procurement processes, security assessments, and multi-stakeholder decision-making. ResponsibilitiesProspect and secure new business within the investment banking sector, targeting enterprise deals with ACVs between $100k and $2M, typically involving 6-12 month sales cycles.Develop and implement comprehensive account strategies for target banks, identifying key stakeholders, quantifying market opportunities, and pinpointing optimal entry points across compliance, technology, and business divisions.Conduct discovery meetings and product demonstrations with senior bank executives, effectively translating Junior's capabilities to address their specific workflows and pain points.Manage intricate enterprise procurement processes, including security reviews, data residency considerations, IT integrations, and planning for multi-team rollouts.Create and present a tailored C-level value proposition and ROI framework specifically designed for the investment banking segment.
Full-time|$71.3K/yr - $104.5K/yr|On-site|US - US - New York
Become a Part of Axiom's Legal TeamWe are on the lookout for a talented Equity Capital Markets Counsel to enhance our Corporate and Securities team. This pivotal role focuses on executing IPOs, ensuring SEC compliance, and structuring equity transactions. We need a proactive attorney with a solid history of advising on initial public offerings, registration statements, and ongoing obligations under the Securities Exchange Act of 1934, alongside a capability to support corporate governance and shareholder rights matters. The ideal candidate will possess extensive experience throughout the **equity lifecycle—from pre-IPO readiness and documentation to post-IPO compliance and transactions**—combined with strong transactional and regulatory expertise in corporate securities and equity capital markets.
The Bureau of Enterprise Technology Business Solutions at the City of New York is hiring a Project Manager in Long Island City. This position leads technology projects that support improvements to city services. Role overview The Project Manager coordinates multiple initiatives, working with teams to deliver technology solutions that benefit the public. The work involves planning, tracking progress, and ensuring projects meet their goals. Location This role is based in Long Island City.
Join Us at HarveyAt Harvey, we are revolutionizing the landscape of legal and professional services through comprehensive solutions, not just incremental changes. By integrating advanced agentic AI with a robust enterprise platform and extensive industry knowledge, we are redefining the way critical knowledge work is approached for generations to come.This is an exceptional opportunity to contribute to a company poised for long-term success at a pivotal moment in its journey. With over 1,000 clients across 60+ nations, a solid product-market fit, and backing from esteemed investors, we are rapidly expanding and creating a new market segment. The challenges are significant, expectations are high, and the potential for personal, professional, and financial growth is unparalleled.Our team consists of intelligent, driven individuals who are deeply dedicated to our mission. We operate with speed and intensity, taking full ownership of the challenges we face—from conceptualization to sustainable outcomes. Our proximity to our clients, from top leadership to engineering teams, enables us to collaboratively address real issues with urgency and care. If you thrive in uncertain environments, strive for excellence, and wish to influence the future of work alongside like-minded professionals, we encourage you to join us in building something extraordinary.At Harvey, we are crafting the future of professional services today—and this is just the beginning.Position SummaryWe are in search of a diligent and enthusiastic Senior Payroll and Equity Analyst to become a vital part of our expanding Finance team. In this role, you will be instrumental in ensuring the precise and prompt execution of payroll and equity functions throughout the organization. As a pivotal contributor to Harvey’s payroll/equity team during this high-growth phase, you will have the chance to develop scalable processes, collaborate across departments including People Operations, Accounting, and Finance, and enhance the overall employee experience. This is a remarkable role for a payroll and equity expert who excels in a fast-moving, dynamic atmosphere and is committed to operational excellence.Key ResponsibilitiesPayroll OperationsAct as a subject matter expert for comprehensive payroll operationsAssist in the accurate and timely processing of semi-monthly, bi-weekly, and off-cycle payrolls, including sales compensation, bonuses, and termination paymentsConduct reviews and reconciliations of payroll data, encompassing earnings, deductions, tax withholdings, and garnishmentsGuarantee compliance with all relevant federal, state, and local payroll tax lawsMaintain payroll records and documentation with a high level of accuracy and confidentiality
The City of New York is seeking a proactive and detail-oriented Facilities Coordinator to join our Bureau of IT Infrastructure and Support Services. This role is crucial for ensuring the effective management of facilities that support our technological infrastructure, ensuring a seamless operational environment.The ideal candidate will be responsible for coordinating maintenance activities, supporting logistics for IT projects, and assisting in the management of facility-related issues. A strong focus on collaboration and communication will be essential for this position.
Full-time|$100K/yr - $155K/yr|On-site|New York, New York, United States
Role: OTC Equity DrafterLocation: New YorkEmployment Type: Full-timeSalary Range: $100,000 - $155,000 (dependent on experience)The OTC Equity Drafter position at Delta Capita offers an exciting opportunity to work within our Structured Retail Products (SRP) division, collaborating with some of the leading financial institutions globally.The SRP division is an expanding entity within Delta Capita, providing comprehensive support services to structured product manufacturers in documentation drafting, automation, client onboarding, product governance, issuance support, and post-trade lifecycle management. Our expert team, combined with innovative technology, aids top-tier structured product manufacturers in enhancing their operational efficiency and scalability.This role is integral to the OTC Equity Structured drafting team, catering to our investment banking clients.Engage in risk mitigation and confirm OTC derivative transactions through both paper and electronic channels with internal and external clients.Address trade confirmation language and resolve economic discrepancies.Collaborate effectively with counterparties to resolve urgent matters and clarify outstanding issues related to trade confirmations.Draft ad-hoc confirmations in conjunction with the Legal team.Develop templates as needed, ensuring approval from Sales, Trading, and Legal departments.Implement strategic projects aimed at boosting efficiency and enhancing control measures.Manage additional tasks as required by the demands of the business.
Join gleanwork as a Private Equity Partnerships Manager in the vibrant city of New York! In this pivotal role, you will be responsible for forging and nurturing relationships with private equity firms, ensuring seamless collaboration and maximizing investment opportunities. You will leverage your expertise in the finance sector to drive strategic initiatives and support our mission to empower businesses through innovative solutions.
Jump Trading Group is dedicated to pioneering research and innovation. We empower brilliant minds in Mathematics, Physics, and Computer Science to explore scientific frontiers, break barriers, and apply groundbreaking research to the global financial markets. Our unique culture fosters constant innovation, requiring fearlessness, creativity, intellectual honesty, and an unwavering competitive spirit. We believe in collective success and unlocking individual talents through collaboration and mutual respect. At Jump, our research outcomes lead to exceptional risk-adjusted returns, developing and deploying technologies that transform our world, funding startups across various industries, and collaborating with leading global research organizations and universities to tackle pressing challenges.As a Risk Manager, you will join Jump Trading's Global Risk Management team, responsible for managing real-time risk across all trading teams. This role involves evaluating new trading strategies, markets, and products, as well as collaborating with Core Development and Technology teams to enhance the firm's internal risk framework, metrics, and reporting processes. This opportunity is tailored for experienced professionals with strong risk management expertise, technical skill sets, and a track record of thriving in high-pressure environments.
Feb 12, 2026
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