Prior experience must include three (3) years of experience with a Masterās degree or five (5) years of experience with a Bachelorās degree with: knowledge of the Commodity Client Base and an in-depth understanding of the specific needs of commodity clients; existing relationships with key market players in the commodities and cross-asset space across asset managers, pension funds and hedge funds; an understanding of the various factors that influence commodity markets, including but not limited to supply and demand dynamics, geopolitical events, economic indicators, and seasonal trends; experience working with different types of commodities including energy, metals, agriculture, and livestock; proficiency with the Bloomberg Terminal to build strategy performance monitors and create automated spreadsheets to run liquidity analysis; knowledge of the commodity systematic trading strategies including commodity risk premia and quantitative signals; experience in backtesting commodity systematic strategies across long/short and beta products; an understanding of the legal and regulatory environment governing commodity trading, including knowledge of compliance requirements, trading regulations, and legal documentation related to commodity transactions including UCITS; experience in managing commodity execution and portfolio solutions with a thorough understanding of executing commodity trades and managing portfolio solutions tailored to client needs; and ability to explain complex trading strategies and portfolio solutions to clients and internal teams. Requires: Masterās degree (U.S. or foreign equivalent) in Finance, Mathematics, Economics, Engineering, or related field and three (3) years of experience in the job offered or in a related role OR Bachelorās degree (U.S. or foreign equivalent) in Finance, Mathematics, Economics, Engineering, or related field and five (5) years of experience in the job offered or in a related role.