A growing investment firm is seeking a Senior Portfolio Manager to lead and expand its systematic corporate bond trading capability in London. This is a high-impact opportunity for an experienced investor with a proven ability to develop, scale, and monetise systematic fixed income strategies. The role is suited to senior professionals with a strong track record in systematic corporate credit, demonstrated P&L generation, and experience building or managing investment strategies in institutional environments. Key Requirements Extensive experience within systematic fixed income or corporate bond investing Proven track record generating consistent risk-adjusted returns Deep expertise across corporate credit markets, portfolio construction, and systematic research Experience designing, building, and running scalable investment strategies Strong commercial mindset with the ability to help grow a broader platform capability Background at leading hedge funds, asset managers, or proprietary trading firms preferred This is an opportunity to join a well-backed platform with a significant appetite to invest in talent, infrastructure, and strategy growth. The successful candidate will play a key role in shaping and building the firm’s systematic corporate bond offering from the ground up.