We are delighted to be advising a fantastic credit fund seeking to build on their strong performance in 2025 as they set themselves up for an exciting 2026.
They are seeking to hire a candidate with demonstrable experience investing and developing strategies across credit derivative products CDS, Credit Indices, Options, Tranches etc.
Role Responsibilities
- Produce and execute investment ideas across CDS, credit indices, options, tranches, bespoke structures, and other credit derivative products
- Collaborate with the CIO and senior investment professionals across adjacent credit strategies
- Design and manage cross-asset hedging strategies to support portfolio risk management
- Contribute to and help lead the development of quantitative investment tools, trading strategies, and the broader credit investment platform
The role will focus generating ideas and executing trades across the credit derivatives space. This role is ideally targeted at mid-level candidates (VP/Director) but our client is open-minded regarding seniority and could consider talented junior profiles. Relevant backgrounds include candidates with experience in credit derivatives trading or strategy, credit XVA teams, desk or quantitative strategy etc.
The ideal profile should have a combination of excellent credit derivatives expertise and strong quantitative skills. This is a fantastic opportunity to join an ambitious credit fund with a highly-regarded investment team.
Seniority level
Not Applicable
Employment type
Full-time
Job function
Finance
Industries
Investment Management, Financial Services, and Capital Markets
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Contact Detail:
Confidential Careers Recruiting Team