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Portfolio Manager | 10bn+ Hedgefund

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Job Description

We're partnered with a leading global hedge fund managing over $10bn in AUM, looking to expand their Fixed Income team.

The firm employs a diversified multi-strategy approach spanning both systematic and fundamental strategies. Combining deep fundamental research with advanced quantitative methods, they've delivered steady, long-term performance through rigorous risk management and strategic innovation. In recent years, the platform has expanded its capital base and strategy mix, underpinned by a culture that values collaboration, precision, and intellectual curiosity.

This opportunity offers autonomy, institutional-grade infrastructure, and a disciplined yet flexible risk framework that enables PMs to maximize performance.

Key Requirements:

  • Proven, live and scalable Fixed Income RV, cross asset vol, or Macro strategies.
  • Demonstrable track record of consistent profitability, ideally generating $20m+ annual PnL.
  • Prior or current experience at a top-performing multi-strategy hedge fund or proprietary trading platform.
  • Open to candidates based in or willing to relocate to UAE.
  • Exceptional risk discipline, execution capability, and process clarity.
  • Sub-PMs or senior traders with a clearly defined, replicable approach ready for independent deployment will also be considered.

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About Company

Job ID: 151900293

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