At a Glance
- Tasks: Trade and manage strategies in Rates and FX markets, focusing on performance optimisation.
- Company: Leading global multi-strategy investment platform with a strong reputation.
- Benefits: Competitive compensation, clear progression framework, and top-notch trading infrastructure.
- Why this job: Join a dynamic team and make impactful decisions in a fast-paced environment.
- Qualifications: 5-10+ years of experience in Rates/FX trading with proven PnL contributions.
- Other info: Opportunities available in London or Dubai with long-term support for success.
The predicted salary is between 43200 - 72000 £ per year.
We are supporting a leading global multi-strategy investment platform in the continued expansion of its G10 and European Rates / FX business. The position is suited for a Rates / FX Portfolio Manager with 5–10+ years of experience, strong relative-value and directional intuition, and a demonstrable track record across EUR, G10 rates, and FX markets.
Key Responsibilities
- Join and contribute to an established G10 / European Rates and FX team
- Trade discretionary or systematic strategies across rates (IRS, OIS, futures) and FX (spot, forwards, swaps)
- Focus on relative-value, curve, cross-market, and macro opportunities
- Manage risk, drawdowns, and liquidity in line with platform guidelines
- Work closely with senior PMs, execution, and central risk teams to optimise performance and scalability
Requirements
- 5–10+ years’ experience trading Rates and/or FX strategies
- Proven PnL contribution in a bank or buy-side environment
- Deep understanding of G10 Rates and FX markets, with EU focus preferred
- Strong risk management discipline within institutional frameworks
- Collaborative mindset; experience joining or operating within an existing team strongly preferred
What’s on Offer
- Opportunity to join a well-capitalised, established macro platform
- Competitive PM economics with a clear capital allocation and progression framework
- Best-in-class trading, execution, and risk infrastructure
- Long-term support for consistent, repeatable performance
Location: London or Dubai
If you are interested in this opportunity, please email steven@aaaglobal.co.uk with a copy of your CV.
Portfolio Manager in City of London employer: AAA Global
Contact Detail:
AAA Global Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Portfolio Manager in City of London
✨Tip Number 1
Network like a pro! Reach out to your connections in the finance world, especially those in Rates and FX. A friendly chat can lead to insider info about job openings that aren't even advertised yet.
✨Tip Number 2
Show off your skills! Prepare a portfolio showcasing your past trades and strategies. This will help you stand out during interviews and give potential employers a taste of what you can bring to their team.
✨Tip Number 3
Stay updated on market trends! Being knowledgeable about current events in the G10 and FX markets will not only boost your confidence but also impress interviewers with your insights.
✨Tip Number 4
Apply through our website! We’ve got a streamlined process that makes it easy for you to submit your application. Plus, it shows you’re serious about joining our team!
We think you need these skills to ace Portfolio Manager in City of London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV is tailored to the Portfolio Manager role. Highlight your experience in trading Rates and FX strategies, and don’t forget to showcase your proven PnL contributions. We want to see how your skills align with what we’re looking for!
Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re the perfect fit for our G10/European Rates and FX team. Share specific examples of your past successes and how they relate to the responsibilities outlined in the job description.
Showcase Your Collaborative Spirit: We value teamwork here at StudySmarter, so make sure to highlight any experiences where you’ve worked closely with senior PMs or risk teams. This will show us that you can thrive in our collaborative environment.
Apply Through Our Website: Don’t forget to apply through our website! It’s the best way for us to receive your application and ensures you’re considered for the role. Plus, it makes the whole process smoother for everyone involved.
How to prepare for a job interview at AAA Global
✨Know Your Markets Inside Out
Make sure you have a deep understanding of G10 rates and FX markets, especially with an EU focus. Brush up on recent trends, key players, and any macroeconomic factors that could impact trading strategies. This knowledge will help you demonstrate your expertise during the interview.
✨Showcase Your Track Record
Be ready to discuss your previous PnL contributions in detail. Prepare specific examples of successful trades or strategies you've implemented, focusing on how they align with the responsibilities of the role. This will show your potential employer that you can deliver results.
✨Emphasise Risk Management Skills
Highlight your experience with risk management within institutional frameworks. Be prepared to discuss how you've managed drawdowns and liquidity in past roles, as this is crucial for the position. Use concrete examples to illustrate your disciplined approach.
✨Demonstrate Team Collaboration
Since the role involves working closely with senior PMs and other teams, it's important to showcase your collaborative mindset. Share experiences where you've successfully worked within a team to optimise performance and scalability, as this will resonate well with the interviewers.