Overview
- Location: West Palm Beach, FL or London, UK (in-person).
- Comp: Base salary (depends on experience) + performance bonus + P&L share.
- We’re looking to bring on a trader who is already running sophisticated strategies on Kalshi, Polymarket, or similar venues - and they're interested to scale their operations with an aligned institutional partner.
Tyr Capital Overview
Since 2018, Tyr Capital has been an award-winning alternative asset manager focused on the intersection of traditional finance and digital assets, especially as it relates to yield generation. The team’s approach is grounded in consistent, risk-adjusted capital appreciation and powered by decades of trading experience across asset classes.
We hire for competence and a clear culture fit. We want to hire top performers focused on making an outsized impact, comfortable with 60+ hour weeks when the mission demands it, and a track record of never dropping the ball.
Extreme ownership, organization, and discipline are baseline expectations for everyone on our team. We only retain A+ players. You will be intellectually challenged every day and work hard.
Tyr Capital is playing to win. If that resonates, we want to hear from you.
Job Description
- Own the full strategy lifecycle: research, backtest, deploy, monitor, and iterate.
- Run event-neutral, arbitrage, and relative-value strategies across multiple venues.
- Build and maintain execution & risk tooling.
- Codify guardrails: hard limits, pre-trade checks, and post-trade reports with operations.
- Exploit structural edges: fee tiers/rebates, liquidity programs, settlement quirks, timing edges, and cross-venue dislocations.
- Coordinate tightly with ops on onboarding/KYC, wallets/custody, and daily P&L.
- Report with evidence: hit rates, EV vs realized, and Sharpe Ratio.
What you’ve done
- 2+ years in systematic or semi-systematic trading, sports/exchange betting, options/arb, or market-making.
- 12+ months trading real capital on Kalshi/Polymarket (or equivalent) with verifiable P&L.