Senior Inflation Portfolio Manager – FI Hedge Fund
Permanent
Portfolio Management
London, New York
A top-tier Fixed Income Hedge Fund is seeking a Senior Inflation Portfolio Manager to develop and execute inflation-linked trading strategies across global fixed income markets. This role offers access to significant capital, cutting-edge infrastructure, and a highly collaborative investment team.

Key Responsibilities:
- Develop and manage inflation trading strategies across TIPS, inflation swaps, breakevens, inflation options, and related derivatives.
- Identify and capitalize on relative value and macro-driven opportunities in global inflation markets.
- Work closely with macro researchers, quants, and execution teams to optimize trading strategies and risk management.
- Monitor global inflation dynamics, central bank policies, and economic indicators to drive decision-making.
- Optimize portfolio construction while managing risk within a multi-strategy, capital-constrained framework.
Requirements:
- Proven P&L track record trading inflation-linked securities at a hedge fund, proprietary trading firm, or investment bank.
- Expertise in inflation swaps, breakevens, sovereign debt, and inflation derivatives.
- Strong quantitative and programming skills (Python, R, C++) are a plus.
- Ability to manage a scalable book while maintaining a disciplined risk approach.
- Experience working 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 inflation traders and macro strategists in a leading hedge fund.
This is a rare opportunity to run an inflation-focused book at a premier fixed income hedge fund. If you have a strong trading track record and are ready to scale your strategies, apply now!
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