LOG IN
SIGN UP
Canary Wharfian - Online Investment Banking & Finance Community.
Sign In
OR continue with e-mail and password
E-mail address
Password
Don't have an account?
Reset password
Join Canary Wharfian
OR continue with e-mail and password
E-mail address
Username
Password
Confirm Password
How did you hear about us?
By signing up, you agree to our Terms & Conditions and Privacy Policy.

Job Details

Durlston Partners logo
Recruitment Agencies

Emerging Markets Rates & FX Portfolio Manager

at Durlston Partners

ExperiencedNo visa sponsorship

Posted 17 days ago

No clicks

Senior Portfolio Manager role running discretionary or systematic Emerging Markets Rates and/or FX strategies for a global multi-strategy hedge fund. Responsible for identifying, executing, and risk-managing macro-driven trades across local and external markets while collaborating with trading, research, and risk teams. Requires a live, verifiable track record (minimum 2–3 years) managing capital at a hedge fund, asset manager, or prop trading firm and willingness to work flexibly across US, UK, Europe, or UAE locations.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
United States, United Kingdom, United Arab Emirates

Full Job Description

Title: Emerging Markets Rates & FX Portfolio Manager
Location: Flexible (US, UK, Europe, UAE)
Fund: Global Multi-Strategy Hedge Fund

Overview:
We’re working with a growing hedge fund that’s looking to add a seasoned Portfolio Manager to their Emerging Markets desk. This is a high-conviction hire for someone with a proven track record running EM Rates and/or FX strategies.

Key Responsibilities:

  • Manage a discretionary or systematic EM Rates and/or FX portfolio

  • Identify, execute, and risk-manage macro-driven trades across local and external markets

  • Collaborate with internal teams across trading, research, and risk

  • Maintain a disciplined investment process, focusing on risk-adjusted returns

What We’re Looking For:

  • A live and verifiable track record of strong risk-adjusted performance (minimum 2–3 years)

  • Expertise across EM local rates, FX, or sovereign debt (hard and/or local currency)

  • Experience managing capital at a hedge fund, asset manager, or prop trading firm

  • Comfortable with a platform or pod-based model, including working within risk and infrastructure parameters

  • Willingness to relocate or work in a flexible, global setup

What’s on Offer:

  • Competitive payout structure and platform support

  • Full infrastructure with experienced risk, compliance, and operational backing

  • Opportunity to join a growing team with a strong investment culture

Job Details

Durlston Partners logo
Recruitment Agencies

17 days ago

clicks

Emerging Markets Rates & FX Portfolio Manager

at Durlston Partners

ExperiencedNo visa sponsorship

Not specified

Currency not set

City: Not specified

Country: United States, United Kingdom, United Arab Emirates

Senior Portfolio Manager role running discretionary or systematic Emerging Markets Rates and/or FX strategies for a global multi-strategy hedge fund. Responsible for identifying, executing, and risk-managing macro-driven trades across local and external markets while collaborating with trading, research, and risk teams. Requires a live, verifiable track record (minimum 2–3 years) managing capital at a hedge fund, asset manager, or prop trading firm and willingness to work flexibly across US, UK, Europe, or UAE locations.

Full Job Description

Title: Emerging Markets Rates & FX Portfolio Manager
Location: Flexible (US, UK, Europe, UAE)
Fund: Global Multi-Strategy Hedge Fund

Overview:
We’re working with a growing hedge fund that’s looking to add a seasoned Portfolio Manager to their Emerging Markets desk. This is a high-conviction hire for someone with a proven track record running EM Rates and/or FX strategies.

Key Responsibilities:

  • Manage a discretionary or systematic EM Rates and/or FX portfolio

  • Identify, execute, and risk-manage macro-driven trades across local and external markets

  • Collaborate with internal teams across trading, research, and risk

  • Maintain a disciplined investment process, focusing on risk-adjusted returns

What We’re Looking For:

  • A live and verifiable track record of strong risk-adjusted performance (minimum 2–3 years)

  • Expertise across EM local rates, FX, or sovereign debt (hard and/or local currency)

  • Experience managing capital at a hedge fund, asset manager, or prop trading firm

  • Comfortable with a platform or pod-based model, including working within risk and infrastructure parameters

  • Willingness to relocate or work in a flexible, global setup

What’s on Offer:

  • Competitive payout structure and platform support

  • Full infrastructure with experienced risk, compliance, and operational backing

  • Opportunity to join a growing team with a strong investment culture