Job Description
Hiring: Rates / FX Portfolio Manager (G10/Europe)
We are supporting a leading global multi-strategy investment platform in the continued expansion of its G10 and European Rates / FX business.
The position is suited for a Rates / FX Portfolio Manager with 5–10+ years of experience, strong relative-value and directional intuition, and a demonstrable track record across EUR, G10 rates, and FX markets.
Key Responsibilities
* Join and contribute to an established G10 / European Rates and FX team
* Trade discretionary or systematic strategies across rates (IRS, OIS, futures) and FX (spot, forwards, swaps)
* Focus on relative-value, curve, cross-market, and macro opportunities
* Manage risk, drawdowns, and liquidity in line with platform guidelines
* Work closely with senior PMs, execution, and central risk teams to optimise performance and scalability
Requirements
* 5–10+ years’ experience trading Rates and/or FX strategies
* Proven PnL contribution in a bank or buy-side environment
* Deep understanding of G10 Rates and FX markets, with EU focus preferred
* Strong risk management discipline within institutional frameworks
* Collaborative mindset; experience joining or operating within an existing team strongly preferred
What’s on Offer
* Opportunity to join a well-capitalised, established macro platform
* Competitive PM economics with a clear capital allocation and progression framework
* Best-in-class trading, execution, and risk infrastructure
* Long-term support for consistent, repeatable performance
Location: London or Dubai
If you are interested in this opportunity, please email steven@aaaglobal.co.uk with a copy of your CV.