- خبرة
- أي
- مرتب
- —
- الوظائف الشاغرة
- 1
- تم النشر
- ستارة
- وضع العمل
- في المكتب
- الأهلية
- Professionals currently working or with prior experience at top-tier multi-strategy hedge funds or proprietary trading firms; individuals must be situated in or willing to move to the UAE.
- سيرة ذاتية
- مطلوب للتقديم
مكان عملك
المسمى الوظيفي
About the Company and Role
A premier global hedge fund managing assets over $10 billion is actively recruiting to bolster its Fixed Income team. The firm adopts a diverse multi-strategy investment philosophy blending systematic and fundamental techniques. Utilizing rigorous fundamental analysis combined with sophisticated quantitative tools, it has consistently achieved stable long-term results supported by robust risk oversight and innovative strategies.
The organization recently enhanced its capital and strategic diversity, fostering a work environment grounded in teamwork, accuracy, and strong intellectual engagement. This position offers autonomy underpinned by institutional-grade resources and a disciplined yet adaptable risk management system designed to empower Portfolio Managers in optimizing investment returns.
Key Responsibilities and Requirements
- Possess a proven and scalable track record managing Fixed Income Relative Value, cross-asset volatility, or Macro strategies effectively.
- Demonstrate history of steady profitability, ideally with an annual profit and loss exceeding $20 million.
- Have worked previously or currently at leading multi-strategy hedge funds or proprietary trading firms.
- Be located in or willing to relocate to the United Arab Emirates.
- Exhibit strong discipline in risk management, excellent execution abilities, and clarity in processes.
- Candidates functioning as Sub-Portfolio Managers or senior traders with well-defined, replicable strategies ready for independent management are strongly encouraged to apply.