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Credit PM/Trader - Hedge Fund

Selby Jennings London, United Kingdom
Posted 19 hours ago In-Office Job Permanent bonus, benefits

Credit PM/Trader - Hedge Fund

Selby Jennings London, United Kingdom

We are partnering with a global hedge fund seeking to hire an experienced Long/Short Credit Portfolio Manager / Trader to join its London-based investment team.

This is an opportunity for a proven credit trader or portfolio manager with a demonstrable track record of generating strong risk-adjusted returns through fundamental long/short credit investing across liquid corporate credit markets.



Key Responsibilities

  • Manage and grow a proprietary long/short credit portfolio.
  • Generate investment ideas across corporate bonds and/or CDS markets.
  • Execute relative value, directional, and catalyst-driven trading strategies.
  • Conduct fundamental credit analysis and identify mispriced opportunities across sectors and capital structures.
  • Apply rigorous risk management and portfolio construction techniques.
  • Work closely with senior investment professionals to drive portfolio performance and capital growth.


Candidate Profile

  • Approximately 10+ years of experience in credit trading, portfolio management, or principal investing.
  • Proven experience trading corporate bonds and/or CDS.
  • Strong understanding of fundamental credit analysis and market dynamics.
  • Demonstrable track record of generating attractive returns in a long/short framework.
  • Experience on either the buy-side or sell-side, although prior proprietary risk-taking experience is highly preferred.
  • Strong commercial mindset with the ability to identify and capitalize on market dislocations.


Key Requirements

Successful candidates will be able to evidence:

  • Consistent profitability through varying market environments.
  • Strong portfolio construction and risk management discipline.
  • A clearly attributable investment track record.
  • Preference for return on cash exceeding 30%
  • Deep expertise within liquid corporate credit markets.


What's on Offer

  • Opportunity to manage meaningful risk capital.
  • Highly entrepreneurial and performance-driven environment.
  • Competitive compensation structure with significant upside linked to performance.
  • Collaborative team culture alongside experienced investment professionals.
  • London-based platform with access to substantial resources and infrastructure.

If you are a proven credit risk taker with a strong track record in corporate bonds or CDS and are looking for a platform to scale your investment strategy, we would welcome a confidential discussion.


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Job ID  PR/611075
ABOUT COMPANY
New York, United States
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We support the Financial Sciences & Services industry with talent that can truly shape the future of a business. Whether that be Quantitative Analyti...
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