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Fixed Income Portfolio Manager

Job in New York, New York County, New York, 10261, USA
Listing for: The Emerald Recruiting Group
Full Time position
Listed on 2025-12-28
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Consultant
Job Description & How to Apply Below
Location: New York

A top-performing multi-strategy hedge fund is looking for a Fixed Income Portfolio Manager to join its expanding credit and macro platform. The firm is seeking a proven investor with a demonstrated track record of consistent alpha generation across liquid or semi-liquid fixed income markets.

This is a seat for a performance-driven professional who understands how to balance conviction with discipline—someone who thrives in an environment where capital, technology, and autonomy come together to amplify edge.

What You’ll Do
  • Manage a discretionary or systematic fixed income portfolio
    , deploying strategies across credit, rates, and structured products.

  • Generate alpha through deep fundamental, relative-value, or macro analysis within a robust risk management framework.

  • Identify opportunities across investment-grade, high-yield, sovereign, and structured debt instruments.

  • Partner with the fund’s quant, risk, and trading infrastructure teams to enhance execution, hedging, and analytics.

  • Employ sophisticated modeling and valuation techniques to inform trade construction and portfolio positioning.

  • Monitor exposures, liquidity, and performance metrics, ensuring adherence to platform-level risk parameters.

  • Collaborate with senior leadership on capital allocation, strategy scaling, and cross-asset initiatives.

What You Bring
  • Proven track record of consistent risk-adjusted returns (Sharpe 1.5+) in fixed income markets.

  • Expertise in one or more of the following areas:
    credit RV, macro rates, structured credit, EM debt, or corporate bonds.

  • Strong analytical and quantitative skills; proficiency in Python, R, or other modeling tools a plus.

  • Deep understanding of market microstructure, liquidity, and risk management frameworks.

  • Experience deploying institutional capital within a hedge fund, proprietary trading firm, or asset manager.

  • Clear communication, collaborative mindset, and a relentless drive to perform at the highest level.

Why It’s Worth a Conversation
  • Institutional-scale platform with cutting-edge data, execution, and risk technology.

  • Competitive P&L-based payout model with significant upside for top performers.

  • Opportunity to run your own book while leveraging firm-wide infrastructure and global resources.

  • Culture built on autonomy, meritocracy, and collaboration across world-class portfolio managers.

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