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Portfolio Manager - Fixed Income

JR United Kingdom

London

On-site

GBP 80,000 - 150,000

Full time

6 days ago
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Job summary

A leading global Hedge Fund is seeking a seasoned Fixed Income Portfolio Manager to drive superior risk-adjusted returns. The ideal candidate will leverage their expertise in global interest rate dynamics and contribute to integrating fixed income views into broader asset allocation strategies.

Qualifications

  • Minimum 5 years of experience in portfolio management or a senior fixed income investment role.
  • Demonstrated track record of managing global fixed income portfolios.
  • Deep knowledge of global fixed income instruments.

Responsibilities

  • Manage a global fixed income portfolio focusing on alpha generation and risk mitigation.
  • Collaborate with macro and cross-asset portfolio teams.
  • Identify inefficiencies in fixed income markets using quantitative tools.

Skills

Analytical Skills
Quantitative Skills
Risk Management
Portfolio Management

Education

Bachelor's or advanced degree in Economics, Finance, Mathematics

Job description

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Client:
Location:

london, United Kingdom

Job Category:

Other

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EU work permit required:

Yes

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Job Views:

6

Posted:

31.05.2025

Expiry Date:

15.07.2025

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Job Description:

Position Overview:

Delta Executive Search is partnering with a leading global Hedge Fund to identify a seasoned and strategic Fixed Income Portfolio Manager to join their high-performing investment team. The successful candidate will be responsible for developing and managing fixed income portfolios within a macroeconomic framework, leveraging deep expertise in global interest rate dynamics, sovereign and credit markets, and central bank policy to drive superior risk-adjusted returns.

Key Responsibilities:

  • Manage a global fixed income portfolio with a focus on alpha generation, risk mitigation, and capital preservation across rate, credit, and duration exposures.
  • Employ either discretionary or systematic methods to express views through interest rate, spread, and relative value trades across global markets.
  • Collaborate with macro and cross-asset portfolio teams to integrate fixed income views into broader asset allocation strategies.
  • Proactively monitor portfolio risk and performance metrics, ensuring strict adherence to internal risk guidelines and external regulatory requirements.
  • Identify and exploit inefficiencies in fixed income markets using quantitative tools and proprietary research.

Requirements:

  • Demonstrated track record of managing global fixed income portfolios, with consistent performance in both stable and volatile market environments.
  • Deep knowledge of global fixed income instruments, including government bonds, interest rate swaps, credit derivatives, and inflation-linked securities.
  • Strong grasp of macroeconomics, central bank behavior, and market microstructure as it pertains to fixed income.
  • Advanced analytical and quantitative skills, with the ability to translate complex macroeconomic insights into actionable fixed income strategies.
  • Bachelor's or advanced degree in a relevant field (Economics, Finance, Mathematics, or related discipline) from a top-tier institution.
  • Minimum 5 years of experience in portfolio management or a senior fixed income investment role, ideally within a hedge fund or institutional asset management environment.
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