Credit Portfolio Manager

Credit Portfolio Manager

London Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage and optimise portfolios of liquid corporate credit securities.
  • Company: Join a leading global US hedge fund with innovative credit strategies.
  • Benefits: Enjoy competitive pay, flexible working options, and a dynamic work environment.
  • Why this job: Shape your own portfolio while making impactful investment decisions in a fast-paced setting.
  • Qualifications: Extensive experience in managing corporate credit portfolios and strong market knowledge required.
  • Other info: Opportunity to build your own team and influence investment strategies.

The predicted salary is between 43200 - 72000 £ per year.

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.

Key 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 instruments.
  • Credit Analysis: Conduct in-depth fundamental and quantitative analysis to identify opportunities and manage risk across corporate credit investments.
  • Trading Strategy: Execute investment strategies within the liquid credit space, with a focus on corporate debt, while maintaining alignment with the fund's overall risk profile.
  • Risk Management: Monitor portfolio risk factors, assess credit quality, and ensure compliance with internal risk policies.
  • Market Monitoring: Track market trends, economic factors, and issuer-specific developments to inform investment decisions.

If 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.

Credit Portfolio Manager employer: Delta Executive Search

Our client is an exceptional employer, offering a dynamic work environment that fosters innovation and collaboration in the heart of the financial district. With a strong commitment to employee development, they provide ample opportunities for growth and advancement, alongside competitive benefits that support work-life balance. Joining this global hedge fund means being part of a forward-thinking team where your expertise in credit strategies will be valued and where you can truly make an impact.
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Contact Detail:

Delta Executive Search Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Credit Portfolio Manager

✨Tip Number 1

Network with professionals in the hedge fund and asset management sectors. Attend industry conferences, webinars, or local meetups to connect with individuals who can provide insights into the role and potentially refer you.

✨Tip Number 2

Stay updated on current market trends and economic factors affecting corporate credit. Being well-informed will not only help you in interviews but also demonstrate your genuine interest in the field.

✨Tip Number 3

Prepare to discuss specific strategies you've employed in managing credit portfolios. Be ready to share examples of how you've identified relative value opportunities and managed risk effectively.

✨Tip Number 4

Familiarise yourself with the specific credit instruments mentioned in the job description, such as investment-grade bonds and leveraged loans. This knowledge will help you stand out as a candidate who understands the nuances of the role.

We think you need these skills to ace Credit Portfolio Manager

Credit Analysis
Portfolio Management
Risk Management
Market Monitoring
Quantitative Analysis
Investment Strategy Development
Knowledge of Corporate Bonds
Understanding of High-Yield Debt
Experience with Leveraged Loans
Ability to Identify Relative Value Opportunities
Strong Analytical Skills
Attention to Detail
Communication Skills
Decision-Making Skills
Adaptability to Market Changes

Some tips for your application 🫡

Understand the Role: Before applying, make sure you fully understand the responsibilities of a Credit Portfolio Manager. Familiarise yourself with terms like liquid corporate credit, investment-grade bonds, and leveraged loans to demonstrate your knowledge in your application.

Tailor Your CV: Highlight your relevant experience managing corporate credit portfolios. Use specific examples that showcase your ability to conduct credit analysis, execute trading strategies, and manage risk effectively. Make sure your CV reflects your understanding of market dynamics.

Craft a Compelling Cover Letter: Write a cover letter that connects your background to the job requirements. Discuss your experience with liquid credit instruments and how you've successfully identified relative value opportunities in the past. Show enthusiasm for the role and the company.

Proofread Your Application: Before submitting, carefully proofread your CV and cover letter. Look for any spelling or grammatical errors, and ensure that all information is clear and concise. A polished application reflects your attention to detail, which is crucial in this field.

How to prepare for a job interview at Delta Executive Search

✨Showcase Your Portfolio Management Skills

Be prepared to discuss your experience in managing corporate credit portfolios. Highlight specific examples of how you've developed and optimised portfolios, focusing on liquid corporate credit securities.

✨Demonstrate Your Analytical Expertise

Expect to be asked about your approach to credit analysis. Prepare to explain your methods for conducting both fundamental and quantitative analysis, and how these have led to successful investment decisions in the past.

✨Discuss Your Trading Strategies

Articulate your trading strategies within the liquid credit space. Be ready to provide insights into how you align your strategies with the overall risk profile of the fund and any adjustments you've made based on market conditions.

✨Stay Informed About Market Trends

Research current market trends and economic factors affecting corporate credit. Being able to discuss recent developments and their potential impact on investments will demonstrate your proactive approach and industry knowledge.

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