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Portfolio Manager – Commodities – Hedge Fund

Job Description

About the Opportunity

One of the world's leading hedge funds - and among the strongest payers anywhere in the market - is building out its commodities business from Dubai and hiring serious risk-takers at Senior Analyst and Portfolio Manager level across metals, power, gas and energy. This is a front-foot seat on a fast-growing desk, trading a global book from a time-zone-advantaged hub with access to deep regional capital - and the firepower of a major multi-strategy fund behind you.

Why this seat

  • A multi-strategy hedge fund running tens of billions in AUM, expanding aggressively across the Gulf
  • One of the most competitive payout structures on the buy-side - uncapped and directly tied to your performance
  • Full institutional infrastructure from day one: risk, research, data and execution support
  • Early-mover position on a desk that's still being built - room to grow your seat

What we're looking for

  • 2–5 years trading commodities at a hedge fund, multi-manager platform, tier 1 bank
  • An attributable track record — minimum 1.5 Sharpe ratio (verifiable PnL strongly preferred)
  • A clear edge in one or more of: metals, power & gas, crude/products, or relative-value commodities
  • Strong fundamental and/or systematic process with disciplined risk management