A leading multi-strategy investment platform with several billion dollars in assets under management is seeking to expand its credit capabilities beyond its existing opportunistic and distressed mandates. As part of this strategic initiative, the platform is looking to hire several experienced Credit Portfolio Managers to build and manage fundamentally driven strategies within liquid, public credit markets.
This is an exceptional opportunity to join a high-profile firm known for its robust infrastructure, institutional-quality risk management, and meaningful capital backing. The platform is open to a range of credit strategies, provided they are grounded in deep, bottom-up fundamental research and can be executed in traded markets. Areas of particular interest include mandates focused on financials, relative value credit, sustainable or ESG-integrated credit approaches, and emerging markets credit.
Ideal candidates will have a demonstrable track record of success in managing credit portfolios, with a clear and repeatable investment process. The firm is particularly interested in managers who can operate with a high degree of autonomy while contributing to a collaborative and intellectually rigorous investment culture. The ability to identify and monetize relative value across capital structures or geographies, and to generate strong risk-adjusted returns within a liquid framework, is key.