Our client, a global US hedge fund, is seeking to bolster its credit strategies by hiring a seasoned Credit Portfolio Manager with a focus on liquid corporate credit. The ideal candidate will have extensive experience managing corporate credit portfolios, a strong understanding of market dynamics, and the ability to identify relative value opportunities and have the opportunity to build their own podKey Responsibilities:Portfolio Management: Develop, manage, and optimize portfolios focused on liquid corporate credit securities, including investment-grade and high-yield bonds, leveraged loans, and other liquid credit instrumentsCredit Analysis: Conduct in-depth fundamental and quantitative analysis to identify opportunities and manage risk across corporate credit investmentsTrading Strategy: Execute investment strategies within the liquid credit space, with a focus on corporate debt, while maintaining alignment with the fund\’s overall risk profileRisk Management: Monitor portfolio risk factors, assess credit quality, and ensure compliance with internal risk policiesMarket Monitoring: Track market trends, economic factors, and issuer-specific developments to inform investment decisionsIf you have a strong knowledge of corporate bonds, leveraged loans, high-yield debt, and other liquid credit instruments and possess a proven track record of managing credit portfolios within a hedge fund or asset management firm, please apply below or reach out directly
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