
We are advising a growing global investment firm looking to appoint a Credit Portfolio Manager as part of the continued expansion of its U.S. platform.
With steadily increasing AUM and a strong track record of annual performance, the firm is seeking a senior investor to play a direct and meaningful role in driving global fund returns. This is a high-impact position offering the opportunity to build and lead a team while reporting directly to the Fund’s CIO.
The Opportunity
Lead long/short credit strategies with a primary focus on high yield, investing across the full credit spectrum Allocate across investment grade, high yield, stressed, and liquid distressed credit, including convertibles and related equities Trade bonds and CDS, with loans as part of a capital-structure-driven investment approach Deploy deep relative value analysis to identify mispricings across issuers, instruments, and structures Own portfolio risk management and hedging, embedding disciplined downside protection into portfolio construction Operate within a performance-driven, growth-oriented platform where results are recognized and rewarded Candidate Requirements
An experienced Credit PM with a demonstrable high-yield track record Proven ability to manage long/short portfolios across multiple market cycles Exceptional relative value expertise and strong analytical depth Hands‑on experience trading bonds, CDS, and loans Sophisticated risk management and hedging capabilities Clear leadership presence, with the ability to elevate investment dialogue and influence outcomes This is a rare opportunity to step into a successful and expanding credit platform offering broad investment latitude, institutional infrastructure, and a culture firmly centered on performance.
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Lead long/short credit strategies with a primary focus on high yield, investing across the full credit spectrum Allocate across investment grade, high yield, stressed, and liquid distressed credit, including convertibles and related equities Trade bonds and CDS, with loans as part of a capital-structure-driven investment approach Deploy deep relative value analysis to identify mispricings across issuers, instruments, and structures Own portfolio risk management and hedging, embedding disciplined downside protection into portfolio construction Operate within a performance-driven, growth-oriented platform where results are recognized and rewarded Candidate Requirements
An experienced Credit PM with a demonstrable high-yield track record Proven ability to manage long/short portfolios across multiple market cycles Exceptional relative value expertise and strong analytical depth Hands‑on experience trading bonds, CDS, and loans Sophisticated risk management and hedging capabilities Clear leadership presence, with the ability to elevate investment dialogue and influence outcomes This is a rare opportunity to step into a successful and expanding credit platform offering broad investment latitude, institutional infrastructure, and a culture firmly centered on performance.
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