AAA Global is partnering with a leading multi-manager hedge fund that began as one of the most high-profile launches in recent years. With substantial capital backing and a highly regarded leadership team, the firm is seeking to expand its macro investing capabilities by appointing an EU inflation portfolio manager.
This is a rare opportunity to run your own strategy within a proven multi-manager framework that combines entrepreneurial freedom with the stability of robust infrastructure and risk management.
Key Responsibilities:
* Construct and actively manage an EU inflation-focused portfolio.
* Deliver consistent returns within agreed risk parameters.
* Collaborate with other senior risk takers across macro and rates strategies, sharing insights and market views.
* Leverage the firm's best-in-class technology, operations, and risk systems to scale your book effectively.
Ideal Candidate Profile
* Demonstrable track record of managing an EU inflation or European rates/inflation strategy as a Portfolio Manager or Senior Risk Taker.
* Consistent, verifiable P&L with disciplined risk management.
* Entrepreneurial and self-driven, with a collaborative approach suited to a multi-manager culture.
* At least 7-8 years' experience in trading or investing within a top buy-side or sell-side environment.
For consideration, please apply directly via this advertisement. A member of the AAA Global team will be in touch with shortlisted applicants to discuss the role in confidence.