Senior Portfolio Manager - European Credit
Listed on 2026-03-07
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Finance & Banking
Corporate Finance, Risk Manager/Analyst -
Management
Risk Manager/Analyst
We are partnering with a leading global hedge fund to appoint a Senior Credit Portfolio Manager for its London office.
This opportunity sits within a rapidly expanding international fixed income and credit platform and offers a central role in shaping and advancing the firm’s credit investment and trading capabilities. The mandate spans high yield, stressed and event-driven situations, as well as liquid distressed credit strategies.
The successful candidate will assume broad senior responsibility, contributing directly to portfolio construction, risk management, and alpha generation across the capital structure.
Key Requirements:- Demonstrated long/short credit portfolio management and/or trading experience across the capital structure
- Deep fundamental credit expertise with significant exposure to investment grade, high yield, stressed and liquid distressed corporate credit
- Experience across bonds, loans, CDS, reorganisation equity, and related instruments
- Established network across buy-side and sell-side counter parties
This individual will play a pivotal role in the team’s continued global expansion. The ideal candidate will bring a strong track record in long/short credit investing and risk management, gained on the buy and/or sell side.
Leadership capability, organisational strength, and the ability to operate in a senior, platform-building capacity are essential.
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