Portfolio Manager | London | Hybrid | £250k + PnL
I am working with a top tier Prop Trading firm who are growing the asset management side of their business after huge growth in the last 12 months.
My client has expanded to 10 locations globally and are looking to add skilled PMs to the team who have extensive expertise with systematic fixed income -focused on deploying Relative Value or Vol Arbitrage strategies.
You will be working with some of the smartest people in the industry in a very collaborative environment, within a rapidly growing company.
Ideal requirements:
* Live Systematic Fixed Income strategy
* Track Record 3+ years
* Sharpe Ratio over 1.5
* Current PM experience
* Resource and Risk Management
* Leadership and Communication Skills
* Must be coming from employment in a financial institution/family office
If this sounds like something you would be interested in, please apply with an up-to-date CV and we can arrange to have a call.