Senior Rates Portfolio Manager | Global Macro Hedge Fund
Listed on 2026-02-16
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Finance & Banking
Portfolio Manager, Wealth Management
We are working with a top performing, collaborative hedge fund in London. The fund, not one of the typical multi‑strats, has a strong track record of performance and are looking to further add divergent alpha. They are looking add a Senior Portfolio Manager focusing on rates, with either prior experience as a PM in a hedge fund, or with management experience in a sell‑side trading team from a top bank.
They are looking for someone who is adaptable to markets and looking to generate alpha in complementary ways. The role will involve working in a collaborative environment that takes a highly sophisticated approach to investing.
The fund is in a good place and has an impressive track record. They have clear and exciting plans for growth. This can lead to exceptional opportunities for individuals joining a team that has a top pedigree for performance and a self‑evident history in developing investment talent. This is combined with a culture and structure that allows for true meritocracy, with a huge amount of white space in terms of future career growth.
Due to demand, we are advertising this role anonymously. If you would prefer to speak to someone before submitting a CV, please send a blank application to the role and someone will be in touch to discuss. We can only respond to highly qualified candidates.
Requirements:- Track record of strong performance as a developed markets rates PM in a hedge fund OR management experience in a sell‑side trading team from a top bank
- Excellent technical foundation and applied understanding of relevant markets
- Clear framework/process in their approach to trading
- Self‑aware and low ego personality who can work and learn proactively and independently.
Location:
London, England, United Kingdom
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