Swap Relative Value Portfolio Manager | Tier-1 Multi-Strategy Hedge Fund | Paragon Alpha

Swap Relative Value Portfolio Manager | Tier-1 Multi-Strategy Hedge Fund

Permanent

Portfolio Management

London, New York

We are hiring a Swap Relative Value Portfolio Manager to join a team-based rates pod at a Tier-1 multi-strategy hedge fund. This role focuses on relative-value trading in interest rate swaps, contributing ideas, managing risk, and generating PnL within a collaborative pod structure.

Principal Consultant | Global Macro Portfolio Management

Harriet Potter

harriet@paragonalpha.com

Key Responsibilities

  • Generate and execute relative-value rates swap strategies
  • Trade swap spreads, curve, basis, and cross-market RV trades
  • Actively manage risk and contribute to portfolio PnL
  • Work closely with senior PMs within a team-based trading framework

Requirements

  • 8–10 years of sell-side experience trading interest rate swaps
  • Explicit background in relative-value (RV) rates strategies
  • Strong understanding of rates curves, swap pricing, and market microstructure
  • Proven risk management discipline and trade execution skills

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