Jay Moody is an Associate Portfolio Manager at Schonfeld, specializing in STIR and macro strategies since August 2023. Previously, Moody worked at Citi from August 2015 to September 2023 in various roles, including Interest Rate Swaps Trader, where market-making on the USD swaps desk involved managing client flow and discretionary risk, and G10 Rates Sales, focusing on relative value and macro hedge funds. Moody also served as an Emerging Markets FX Trader with a focus on Latin America, handling FX spot, forwards, NDFs, and local rates markets. Earlier experience includes a position as a Macro Sales & Trading Summer Analyst at Jefferies in 2014. Moody holds a B.A. in Latin American Studies and Finance from Vanderbilt University, earned from 2011 to 2015.
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