The Tidal Financial Group is a leading ETF investment technology platform dedicated to creating, operating, and growing ETFs. We combine expertise and innovative partnership approaches to offer comprehensive, value-generating ETF solutions.
Our platform offers best-in-class strategic guidance, product planning, trust and fund services, legal support, operations support, marketing and research, and sales and distribution services.
About the role
We are seeking a skilled and adaptable UCITS & ETF management professional to join our growing team. As one of the firms early hires in Europe, this role will be integral in helping establish our presence in the region and expanding our operational reach. The position involves working across all facets of portfolio management, including trading, portfolio construction, as well as client and capital market engagement. The role offers flexibility in location, with a preference for candidates based in the UK or Ireland, as we look to build out our European footprint.
What you'll do
· Execute trades, rebalances, secondary market orders, and manage the day-to-day operations across our ETFs/UCITS portfolio suite.
· Collaborate with team members across offices in the US, to ensure alignment on portfolio strategies and operations.
· Interface with brokers, custodians, and clients worldwide to manage relationships and support stakeholder needs.
· Engage with brokers and market makers in capital markets to ensure optimal trade execution and liquidity management.
· Assist in portfolio modeling, risk management, and rebalancing decisions.
· Stay current on industry trends and product developments in ETFs, UCITS, and financial markets broadly.
· Ensure smooth operations using technology platforms, especially Bloomberg, and leveraging coding skills for automation or process improvements.
Qualifications
· Extensive knowledge of ETFs, UCITS, equity, and derivative markets.
· Experience with trading platforms and portfolio management systems, including Bloomberg.
· Familiarity with a coding language (e.g., Python, VBA, or similar) to support data analysis and automation tasks.
· Strong communication skills with an ability to work across time zones and collaborate with a global team.
· Fluency in English is required; proficiency in another European language is preferred.
· Experience with institutional clients or large entities.
· Experience interacting with brokers and market makers in capital markets.
· Risk management and portfolio construction skills are highly valued.
· Regulatory knowledge (e.g., MiFID, UCITS directives) is a plus.
This is a 1099 contract role, duration 12m with opportunity for extension.
Trading
Remote (Ireland)
Remote (United Kingdom)
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