A leading multistrategy hedge fund is looking to bring on an experienced EU rates focused Portfolio Manager.
Responsibilities
- Develop and execute trading strategies focused on European interest rate markets, leveraging deep knowledge of sovereign debt, swaps, and related instruments.
- Manage risk and ensure alignment with the firm's overall risk management framework.
- Conduct in-depth market analysis, utilizing quantitative and qualitative methods to generate actionable investment ideas.
- Collaborate with the research and trading teams to enhance alpha generation.
- Maintain and grow strong relationships with market participants, including brokers and counterparties.
Qualifications
- Proven track record of managing a profitable EU rates-focused portfolio.
- Strong expertise in European interest rate markets, including a robust understanding of macroeconomic drivers and policy dynamics.
- Exceptional risk management skills, with a disciplined approach to trading and position sizing.
- Ability to work collaboratively within a team-oriented, high-performance culture.
- Excellent communication skills, both written and verbal.