
Our client is looking to hire a
Senior Credit Portfolio Manager
to continue the expansion of their growing US presence. The firm has
steadily growing AUM with strong annual returns . This is a senior, high-impact role with direct responsibility for driving global fund performance. The position offers the opportunity to
build and lead a team , while
reporting directly to the Fund’s CIO . The Opportunity Run
long/short credit
strategies with a
high-yield focus , trading across the full credit spectrum Invest from
investment grade through stressed and liquid distressed , including
convertibles and related equities Trade
bonds and CDS , with
loans included , taking a capital-structure-aware approach Apply deep
Relative Value analysis and trading , identifying mispricings across issuers, instruments, and structures Own
risk management and hedging , with disciplined downside control at the core of portfolio construction Operate within a
high-performing, growth-oriented platform
where performance is recognized and rewarded What We’re Looking For A seasoned
credit PM
with a strong
high-yield
track record Demonstrated success running
long/short portfolios
through multiple market environments Exceptional
Relative Value trading skills
and analytical depth Hands-on experience across
bonds, CDS, and loans Outstanding
risk management and hedging capability Clear
leadership presence , able to influence investment debate and raise the bar across the team This is a rare chance to step into a
successful, expanding credit business
with a broad mandate, strong infrastructure, and a culture focused squarely on performance.
#J-18808-Ljbffr
Senior Credit Portfolio Manager
to continue the expansion of their growing US presence. The firm has
steadily growing AUM with strong annual returns . This is a senior, high-impact role with direct responsibility for driving global fund performance. The position offers the opportunity to
build and lead a team , while
reporting directly to the Fund’s CIO . The Opportunity Run
long/short credit
strategies with a
high-yield focus , trading across the full credit spectrum Invest from
investment grade through stressed and liquid distressed , including
convertibles and related equities Trade
bonds and CDS , with
loans included , taking a capital-structure-aware approach Apply deep
Relative Value analysis and trading , identifying mispricings across issuers, instruments, and structures Own
risk management and hedging , with disciplined downside control at the core of portfolio construction Operate within a
high-performing, growth-oriented platform
where performance is recognized and rewarded What We’re Looking For A seasoned
credit PM
with a strong
high-yield
track record Demonstrated success running
long/short portfolios
through multiple market environments Exceptional
Relative Value trading skills
and analytical depth Hands-on experience across
bonds, CDS, and loans Outstanding
risk management and hedging capability Clear
leadership presence , able to influence investment debate and raise the bar across the team This is a rare chance to step into a
successful, expanding credit business
with a broad mandate, strong infrastructure, and a culture focused squarely on performance.
#J-18808-Ljbffr