Quantitative Credit Portfolio Manager | Paragon Alpha

Quantitative Credit Portfolio Manager

Permanent

Portfolio Management

London, New York

We are hiring a Quantitative Credit Portfolio Manager to join top-tier global hedge funds and multi-strategy platforms. This role focuses on building and managing systematic credit strategies across investment-grade, high yield, credit indices, and related derivatives, with full responsibility for research, portfolio construction, and risk management.

Founder and Managing Director

Colin McGhee

colin@paragonalpha.com

Key Responsibilities

  • Manage a quantitative credit portfolio with full PnL ownership
  • Develop and deploy systematic credit and relative-value strategies
  • Trade instruments including cash bonds, CDS, indices, and credit derivatives
  • Oversee portfolio construction, risk limits, and drawdown management
  • Collaborate with researchers, technologists, and execution teams

Requirements

  • Proven track record in quantitative or systematic credit trading
  • Strong understanding of credit markets, spreads, curve dynamics, and liquidity
  • Solid quantitative background in statistics, math, or financial engineering
  • Advanced Python (and/or C++) skills
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