Senior Credit Portfolio Manager – Tier 1 Multi-Strat Hedge Fund
Permanent
Portfolio Management
London, New York
A Tier 1 Multi-Strategy Hedge Fund is seeking a Senior Credit Portfolio Manager to develop and manage systematic or discretionary credit trading strategies across global credit markets. This is a high-impact role within a dynamic, capital-backed, and research-driven trading environment.

Key Responsibilities:
- Develop and execute credit trading strategies across investment-grade, high-yield, distressed debt, CDS, and structured credit products.
- Identify mispricings and relative value opportunities within global credit markets.
- Optimize risk-adjusted returns while adhering to capital and drawdown constraints.
- Collaborate with research teams, quants, and traders to enhance execution and portfolio construction.
- Leverage alternative data, proprietary models, and macroeconomic insights to inform trading decisions.
Requirements:
- Proven P&L track record in credit trading at a hedge fund, bank, or proprietary trading firm.
- Expertise in corporate bonds, structured credit, CDS, and credit derivatives.
- Strong risk management skills and experience managing a scalable credit book.
- Quantitative skills and programming proficiency (Python, R, or SQL) are a plus.
- Ability to operate in a fast-paced, multi-strategy hedge fund environment.
Why Join?
- Industry-leading compensation with strong performance-based incentives.
- Access to deep capital, proprietary research, and advanced trading technology.
- Work with top-tier credit investors and PMs in a highly collaborative environment.
This is a rare opportunity to run a credit book at a premier multi-strat hedge fund with significant capital backing. If you have a strong trading track record and want to scale your strategies, apply now!
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