Portfolio Manager - Rates
Listed on 2026-07-18
-
Finance & Banking
Capital Markets, Trading - Equity / Derivatives / Quantitative, Risk Manager/Analyst, Portfolio & Asset Management
Global Hedge Fund | London / Major Financial Centre
A leading global hedge fund is seeking an experienced Portfolio Manager to join its Rates business and manage capital across G10 interest rate markets
.
The successful candidate will have a proven track record generating alpha through discretionary trading of cash rates and/or interest rate derivatives
, with a strong focus on developed markets. This opportunity is suited to an experienced investor with deep expertise in rates relative value, curve trading and macro-driven opportunities across global fixed income markets.
- Generate and execute investment ideas across G10 rates markets.
- Manage a portfolio focused on linear interest rate products.
- Identify relative value and directional opportunities across rates curves and swap markets.
- Construct and manage risk within a disciplined portfolio framework.
- Collaborate with risk, technology and execution teams to maximise performance.
- 10+ years' experience within a leading hedge fund, investment bank or asset manager.
- Strong background trading G10 rates markets (USD, EUR, GBP and other developed markets).
- Experience managing risk and generating PnL within a proprietary, hedge fund or principal investing environment.
- Demonstrable expertise across:
- Interest Rate Swaps (IRS)
- Government Bonds
- Bond Futures
- Curve Trading (e.g. 2s10s, 5s30s)
- Asset Swaps (ASW)
- Relative Value Rates Strategies
- Portfolio Manager, Senior Trader or Proprietary Trader with an established rates track record.
- Experience across both cash and derivatives markets.
- Strong understanding of macroeconomic drivers, central bank policy and fixed income relative value.
Please note: This role is focused on G10 Developed Market Rates
. Candidates whose experience is primarily centred on Emerging Markets rates products are unlikely to be relevant.
This is an outstanding opportunity to join a well-capitalised global platform offering significant resources, institutional infrastructure and the ability to scale a successful investment strategy.
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