Job Description
About the Opportunity
We're representing a leading global fund, seeking to add a talented credit portfolio manager to their top-performing team in London. This is a key hire for the business, who have developed their investment focus across a number of long/short strategies including investment grade, high yield, emerging market and macro credit.
Responsibilities
- Investing and trading in the IG and HY universe within a long/short strategy
- Utilizing both fundamental and relative value (RV) analysis
- Identifying, analyzing, and executing investments across products (bonds, CDS, etc.)
- Portfolio construction, execution, and risk management for hedging strategies
- Building and maintaining a network across both buy side and sell side professionals
About You
The ideal candidate will have:
- A strong track-record in investing and trading in the IG and HY universe
- Proven knowledge and exposure to the European credit space
- Experience in portfolio construction, execution, and risk management
- An excellent network across both buy side and sell side professionals
Eligibility
The ideal candidate should have experience in a similar L/S credit investment or trading seat with appropriate risk management experience on either the buy side or sell side.
Benefits
- Joining one of the most notable funds in the market
- Central role within the global fixed income and credit team
About Company
Our client is a leading global fund with a strong presence in the investment industry.