EM Rates RV Sub-Portfolio Manager – Tier 1 Multi-Strat Hedge Fund
Permanent
Portfolio Management
London, New York
A Tier 1 Multi-Strategy Hedge Fund is looking for an experienced EM Rates Relative Value Sub-Portfolio Manager to develop and execute emerging markets rates trading strategies. This is a high-impact role within a top-performing macro and fixed income trading team, offering access to deep capital, robust infrastructure, and a world-class research platform.

Key Responsibilities:
- Develop and manage relative value strategies in emerging markets interest rate products (swaps, bonds, forwards, options).
- Identify market inefficiencies and trading opportunities across local and hard currency EM fixed income markets.
- Work closely with macro researchers, quants, and execution traders to optimize strategy performance.
- Manage risk within defined parameters and dynamically adjust positions based on market conditions.
- Stay ahead of EM macroeconomic trends, central bank policies, and liquidity dynamics.
Requirements:
- Proven P&L track record in EM Rates RV trading at a hedge fund, bank, or proprietary trading firm.
- Deep knowledge of emerging markets rates, curves, vol markets, and local/global macro drivers.
- Strong quantitative skills and programming proficiency (Python, R, or C++) preferred.
- Ability to scale a risk-appropriate book within a multi-strategy hedge fund.
- Experience operating within tight risk and drawdown limits.
Why Join?
- Highly competitive compensation and strong performance-based incentives.
- Work with top-tier EM rates traders and macro strategists in a leading hedge fund.
- Access to significant capital, proprietary data, and cutting-edge trading technology.
This is a unique opportunity to trade EM rates at a top global multi-strat fund with a highly scalable platform. If you have a strong P&L and are ready to expand your strategies, apply now!
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