Portfolio Manager - Rates

Portfolio Manager - Rates

Full-Time 100000 - 150000 Β£ / year (est.) No working from home possible
Selby Jennings

At a Glance

  • Tasks: Generate and execute investment ideas across G10 rates markets and manage a disciplined portfolio.
  • Company: Leading global hedge fund with significant resources and institutional infrastructure.
  • Benefits: Competitive compensation, access to top-tier resources, and the ability to scale your investment strategy.
  • Other info: Outstanding opportunity for career growth in a well-capitalised global platform.
  • Why this job: Join a dynamic team and make impactful decisions in the world of finance.
  • Qualifications: 10+ years' experience in hedge funds or investment banks with strong rates trading background.

The predicted salary is between 100000 - 150000 Β£ per year.

Global Hedge Fund | London / Major Financial Centre A leading global hedge fund is seeking an experienced Portfolio Manager to join its Rates business and manage capital across G10 interest rate markets .

The successful candidate will have a proven track record generating alpha through discretionary trading of cash rates and/or interest rate derivatives , with a strong focus on developed markets.

This opportunity is suited to an experienced investor with deep expertise in rates relative value, curve trading and macro-driven opportunities across global fixed income markets.

Key Responsibilities Generate and execute investment ideas across G10 rates markets.

Manage a portfolio focused on linear interest rate products.

Identify relative value and directional opportunities across rates curves and swap markets.

Construct and manage risk within a disciplined portfolio framework.

Collaborate with risk, technology and execution teams to maximise performance.

Required Experience 10+ years' experience within a leading hedge fund, investment bank or asset manager.

Strong background trading G10 rates markets (USD, EUR, GBP and other developed markets).

Experience managing risk and generating Pn L within a proprietary, hedge fund or principal investing environment.

Demonstrable expertise across: Interest Rate Swaps (IRS) Government Bonds Bond Futures Curve Trading (e. g. 2s10s, 5s30s) Asset Swaps (ASW) Relative Value Rates Strategies Preferred Background Portfolio Manager, Senior Trader or Proprietary Trader with an established rates track record.

Experience across both cash and derivatives markets.

Strong understanding of macroeconomic drivers, central bank policy and fixed income relative value.

Please note: This role is focused on G10 Developed Market Rates .

Candidates whose experience is primarily centred on Emerging Markets rates products are unlikely to be relevant.

This is an outstanding opportunity to join a well-capitalised global platform offering significant resources, institutional infrastructure and the ability to scale a successful investment strategy. #J-18808-Ljbffr

Portfolio Manager - Rates employer: Selby Jennings

Selby Jennings is an exceptional employer, offering a dynamic work culture that fosters collaboration and innovation in the heart of London. Employees benefit from extensive growth opportunities, competitive compensation, and a supportive environment that encourages professional development, making it an ideal place for those looking to make a meaningful impact in the finance technology sector.

Selby Jennings

Contact Details:

Selby Jennings Recruitment Team

We think you need these skills to ace Portfolio Manager - Rates

Discretionary Trading
Interest Rate Derivatives
G10 Rates Markets
Relative Value Analysis
Curve Trading
Risk Management
Portfolio Management