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Macro Rates Sub-Portfolio Manager
Job in
London, Greater London, EC1A, England, UK
Listed on 2025-12-30
Listing for:
Undisclosed
Full Time
position Listed on 2025-12-30
Job specializations:
-
Finance & Banking
Portfolio Manager, Risk Manager/Analyst
Job Description & How to Apply Below
This role offers the opportunity to work in a collaborative environment known for performance. Candidates must have a strong track record in macro rates trading, a solid technical foundation, and a proactive approach to learning. The fund emphasizes meritocracy and offers a path for significant career growth in finance. If you have a sound background from a hedge fund or top investment bank, apply without delay.
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