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Company Overview
Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1973. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy.
Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long-term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross-team collaboration strengthens our conviction and empowers us to capitalize on market dislocations.
At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies.
Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact.
Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals.
Job Overview
The Trading team is seeking to hire a Junior Equities Trader who is analytical, intellectually curious, and a creative problem-solver with excellent verbal and written communication skills. The ideal candidate thrives in a collaborative environment that values individual initiative, innovation, and smart risk-taking. This role requires a strong understanding of and experience in Equities trading and a solid grasp of market structure, liquidity dynamics, and best execution practices across U.S. equity markets. The trader will be responsible not only for executing trade orders initiated by the Portfolio Manager but also for contributing insights on trading flow dynamics and generating analytics on trading technicals. There will be daily interactions with sell-side sales, trading, and internal Portfolio Managers, risk and quant teams, so established street relationships and teamwork are essential.
Major Responsibilities
• Execute trades across U.S. equity markets in line with Portfolio Manager direction, internal guidelines, and best execution standards.
• Monitor market conditions, liquidity, and pricing to support efficient and timely trade execution.
• Collaborate with Portfolio Managers, Analysts, Risk, Operations, Compliance, and Technology to support the full trade lifecycle.
• Identify opportunities to enhance trading workflows, controls, and overall operational efficiency.
• Assist in developing and refining trading procedures, reporting, and execution processes.
• Build and maintain strong relationships with brokers and counterparties, contributing to ongoing evaluation and partnership management.
What We Value
• 4+ years of experience in equities trading, either on the buy-side or sell-side, with strong knowledge of U.S. equity markets and market structure.
• Proven ability to build and maintain relationships with brokers and counterparties; existing network is a plus.
• Experience working in a fast-paced trading environment, supporting multiple Portfolio Managers with a high degree of accuracy and responsiveness.
• Strong understanding of trade execution, liquidity dynamics, and best execution practices.
• Highly detail-oriented with strong analytical, problem-solving, and organizational skills.
• Excellent communication skills and a collaborative mindset, with the ability to work effectively across teams including Risk, Operations, Compliance, and Technology.
We anticipate the base salary of this role to be between $125,000-$140,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year-end bonus.
In all respects, candidates need to reflect the following SFM core values:
Smart risk-taking // Owner’s Mindset // Teamwork // Humility // Integrity
Ready to apply?
Apply to Soros Fund Management
Share this job

Company Overview
Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1973. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy.
Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long-term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross-team collaboration strengthens our conviction and empowers us to capitalize on market dislocations.
At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies.
Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact.
Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals.
Team Overview
The Media Partnerships and Investments team manages an active and growing portfolio of digital media and information businesses spanning audio, video, and next-generation content brands. The team takes a hands-on, operator-informed approach to value creation, working closely with portfolio company leadership on strategy, governance, and shared infrastructure.
Job Overview
This position sits within SFM’s Media Partnerships and Investments team, with responsibility spanning both new investment evaluation and ongoing oversight of existing holdings. The work is roughly split between analyzing potential investments and engaging directly with the management teams of current portfolio companies– tracking performance, identifying issues, and supporting strategic decisions.
You’ll join a small, established team with a flat structure and direct access to senior leadership. This is not a pure research or modeling role. The right person will be comfortable moving between a financial model and a conversation with a CEO.
Major Responsibilities
What We Value
We anticipate the base salary of this role to be between $175,000-$200,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year-end bonus.
In all respects, candidates need to reflect the following SFM core values:
Smart risk-taking // Owner’s Mindset // Teamwork // Humility // Integrity
Ready to apply?
Apply to Soros Fund Management
Share this job

Company Overview
Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1973. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy.
Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long-term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross-team collaboration strengthens our conviction and empowers us to capitalize on market dislocations.
At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies.
Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact.
Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals.
Team Overview
The Macro Group operates across global markets with a focus on macroeconomic themes and opportunistic trading, aimed at capturing dislocations in volatile markets. The team pursues discretionary and systematic strategies across interest rates, foreign exchange, equities, and broader risk premia, integrating insights across asset classes to support portfolio risk.
Major Responsibilities
• Partner with the Macro Portfolio Manager to formulate trades and support market views / themes with data and quantitative analysis
• Apply quantitative techniques to test, refine, and when appropriate systematize, investment ideas across macro asset classes
• Analyze macro data and market dynamics to generate insights, quantify market intuition, and challenge investment views
• Develop tools for portfolio monitoring, risk analysis, and scenario testing, focusing on cross-asset relationships and market conditions
• Collaborate with technology and data teams to source, structure, and implement analytics that enhance investment decision-making
What We Value
• 4+ years of front office experience on the buy side or sell side, with exposure to macro or cross-asset investing
• Demonstrated market enthusiasm and experience contributing to alpha generation, investment decision-making and trading
• Strong quantitative skill set with proficiency in Python; familiarity with data analysis and AI tools
• Experience in macro credit (e.g., options on indices and tranches), rates volatility, or FX options / light exotics a plus
• Solid understanding of financial markets, macroeconomic drivers, and cross-asset relationships, with strong communication skills and attention to detail
We anticipate the base salary of this role to be between $150,000-175,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year-end bonus.
In all respects, candidates need to reflect the following SFM core values:
Smart risk-taking // Owner’s Mindset // Teamwork // Humility // Integrity
Ready to apply?
Apply to Soros Fund Management
Share this job

Soros Fund Management LLC (SFM) is a global asset manager and family office founded by George Soros in 1970. With $28 billion in assets under management (AUM), SFM serves as the principal asset manager for the Open Society Foundations, one of the world’s largest charitable foundations dedicated to advancing justice, human rights, and democracy.
Distinct from other investment platforms, SFM thrives on agility, acting decisively when conviction is high and exercising patience when it’s not. With permanent capital, a select group of major clients, and an unconstrained mandate, we invest opportunistically with a long-term view in a wide range of strategies and asset classes, including public and private equity and credit, fixed income, foreign exchange, and alternative assets. Our teams operate with autonomy, while cross-team collaboration strengthens our conviction and empowers us to capitalize on market dislocations.
At SFM, we foster an ownership mindset, encouraging professionals to challenge the status quo, innovate, and take initiative. We prioritize development, enabling team members to push beyond their roles, voice bold ideas, and contribute to our long-term success. This culture of continuous growth and constructive debate fuels innovation and drives efficiencies.
Our impact is measured by both the returns we generate and the values we uphold, from environmental stewardship to social responsibility. Operating as a unified team across geographies and mandates, we remain committed to our mission, ensuring a meaningful, lasting impact.
Headquartered in New York City with offices in Greenwich, Garden City, London, and Dublin, SFM employs 200 professionals.
The Private Credit Group covers a wide mandate with a primary focus on corporate and asset-backed opportunities. The team is focused on consistently finding the best risk/reward and participates up and down the capital structure across a variety of industries and asset classes.
We anticipate the base salary for this role will be in the range of $175,000 to $200,000. In addition to a base salary, the successful candidate will also be eligible to receive a discretionary year-end bonus, as well as other benefits.
In all respects, candidates need to reflect the following SFM core values:
Smart risk-taking // Owner’s Mindset // Teamwork // Humility // Integrity
Ready to apply?
Apply to Soros Fund Management
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