OverviewA selective US investment manager renowned for its disciplined investment culture and top-tier performance is expanding its presence into Europe. The firm is seeking an exceptional High Yield Portfolio Manager to join its London office.
Responsibilities
Take the lead on European credit coverage for the platform, managing a long/short mandate focused on High Yield names with the flexibility to move across the capital structure when opportunity arises.
Operate with autonomy to shape and execute your strategy, collaborating with colleagues across regions and leveraging the firm''s resources, infrastructure, and global network.
Identify, structure, and execute high-conviction trades while maintaining risk within a disciplined framework.
Build and maintain a strong issuer knowledge base and contribute to process enhancements as the European footprint grows.
Qualifications
Established portfolio management experience or a clearly attributable track record demonstrating the ability to generate alpha.
Background from leading credit hedge funds, top-tier buy-side institutions, or High Yield desks on the sell-side.
Strong analytical skills, deep issuer knowledge, and the ability to identify, structure, and execute high-conviction trades.
Proven ability to manage risk within a disciplined investment process.
Why this roleFor the right candidate, this role offers a high degree of independence, significant upside potential, and the chance to build the firm''s European footprint from the ground up.
Details
Seniority level: Not Applicable
Employment type: Full-time
Job function: Analyst and Management
Industries: Investment Management
Location: London, United ..... full job details .....