Portfolio Manager — Relative Value

Investment Managment
MPM98634

Portfolio Manager — Relative Value

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Location:
Consultant:
Reference:

Investment Managment

London

Ash Karra

MPM98634

Run a concentrated, RV‑driven macro book with real balance sheet behind it.

Key Experience.

Own a discretionary macro RV book across G10 rates and FX (cross‑asset a plus).

Generate trade ideas from a clear, repeatable framework rather than theme‑of‑the‑day.

Work with best‑in‑class risk, tech and execution support.

Scale risk as the signal strengthens; cut fast when it doesn’t.

Candidate Profile.

3–5+ years running a risk‑owned macro / RV book on a platform, single‑manager fund or top prop desk.

Demonstrable, audited P&L with sensible risk usage and low blow‑ups.

Experience trading swaps, futures, options, and relative‑value structures (flies, curve, basis, cross‑market).

Strong macro intuition plus a defined RV process.

Comfort running risk through events, data and illiquid patches.

Solid data skills (Excel/Python or similar) for scenario and RV analysis.

Clear communication with risk, capital allocators and execution.

apply for this role in confidence USING THE FORM below and
one of our EXPERIENCED consultants will be in touch.

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