We are presently working with an exciting and growing credit fund that is seeking to hire a macro credit professional to join its London‑based investment team as the firm looks to continue its growth‑trajectory into 2026.
The role will focus on generating and executing investments across the macro credit spectrum and is best suited to candidates at the VP level, though the firm remains open‑minded regarding seniority (Associate through to Director).
Key Responsibilities
- Develop and implement 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 successful candidate will have demonstrable experience investing and developing strategies across macro and structured credit products. A relevant background for this role may include candidates with experience in credit derivatives trading, credit portfolio management, macro credit analyst/desk strategist, credit‑focused XVA teams, credit desk or quantitative strategy etc.
The ideal profile combines deep structured credit expertise with strong quantitative capabilities. This is an opportunity to join an ambitious and expanding credit fund with a high‑calibre investment team.
Seniority Level
Mid–Senior Level (Associate through to Director)
Employment Type
Full‑time
Job Function
Finance – Investment Management, Capital Markets, Investment Banking
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Contact Detail:
Confidential Careers Recruiting Team