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AVP of Trading-Active

Posted June 18, 2026
Salaried, full-time USD 90,000.0 - 130,000.0

Job Overview

About the role

Tidal is seeking a highly skilled AVP of Trading and Portfolio Management responsible for the implementation and management of various Exchange-Traded Fund (ETF) portfolios. This role requires a deep understanding of financial markets, strong analytical skills, and a proven track record in managing portfolios within relevant risk-reward frameworks.  

 
The ETF Portfolio Management team provides portfolio management and execution services for ETF issuers. The firm manages both active and index-based portfolios and covers most major global asset classes. This position will closely be involved with day-to-day portfolio management functions of exchange traded products.  


What you'll do

  • Be a key member of the firm’s portfolio management team, taking an active role in managing portfolios and acting as liaison with clients. 
  • Provide operational support through portfolio monitoring, trade execution, compliance reporting, and investment thought leadership. 
  • Perform day-to-day portfolio reconciliation. 
  • Work with trading team on the preparation or execution of trades, rebalances, ETF baskets, etc.  
  • Prepare quarterly portfolio reconciliation and reports to assist in portfolio oversight, compliance reporting, board meetings and regulatory filing updates. 
  • Understand firm’s policies and procedures for overall compliance and portfolio management, identifying improvements, as applicable.  

Qualifications

  • Bachelor’s degree in mathematics, finance, accounting, economics, or related fields. 
  • 5 years+ experience with an ETF or trading background. 
  • Strong excel skills a must, VBA/Bloomberg/Python/etc. a plus.  
  • Must be a proactive problem solver and dedicated hard worker, capable of tackling challenges efficiently.  
  • Must excel at managing multiple deadlines and tasks simultaneously while maintaining exceptional attention to detail.  

Preferred Qualifications  

  • Proximity to Chicago and New York preferred
  • Basic Bloomberg command knowledge   
  • Exposure to investment compliance guideline monitoring and updating  
  • Effective communicator that works well in a team environment that has a strong desire to continuously improve workflows, fundamentally understands operational risk, and takes initiative. 

We are prioritizing candidates who are located within proximity to Chicago, IL; Milwaukee, WI; Omaha, NE; and West Palm Beach, FL.

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