Bond RV Portfolio Manager

2 months ago


London, United Kingdom Undisclosed Full time

Bond RV Portfolio Manager | Fixed Income Hedge Fund | London


We are working with a top performing, collaborative fixed income hedge fund in London who are looking to build out in DM Rates and specifically the Bond RV space. The fund has a strong track record of performance and are looking to further add divergent alpha. They are looking for candidates from a top tier hedge fund or bank with a track record of trading EGBs and other liquid markets using RV strategies. They are looking for a highly ambitious candidate with large forward potential. The role will involve working in a collaborative environment that takes a highly sophisticated approach to investing, in a comparatively unfettered/uncrowded niche with strong growth prospects. We can go into further detail on a call but there are several reasons (balance sheet, approach to risk etc) that make this a particularly compelling opportunity with a higher probability of success than comparative opportunities at multi strats.


This role will be to help build out in DM rates. They are looking for someone who is adaptable to market conditions in terms of their focus but expect that the initial build will be around bond RV driven strategies within EGB’s. Also, they would like someone who can work closely with quants and devs to help build out the infrastructure required for trading these markets. It is likely that the successful candidate will be someone who has a keen interest and understanding of funding relative value trades.


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 truly exceptional opportunities for individuals joining the business, including mentorship from 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.


Requirements:

  • 4+ years’ experience in trading Government Bonds (EGB’s) using Bond RV strategies within a hedge fund (6+ years’ experience if coming from a top tier bank). Exceptional outliers will be considered.
  • Excellent technical foundation and applied understanding of relevant markets
  • Experience trading with a focus on RV strategies
  • Clear framework/process in their approach to trading
  • Self-aware and low ego personality who can work and learn proactively and independently.


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.



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