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Trader, Global Asset Manager, London, London

Non-disclosed London, United Kingdom
Posted 1 day ago Permanent Competitive

Trader, Global Asset Manager, London, London

Non-disclosed London, United Kingdom
Our client is a global asset manager seeking a skilled trader to execute across credit, rates, equities and FX with a strong emerging markets focus. The role spans trade execution, exposure management and liquidity sourcing, while supporting a follow‑the‑sun model. Ideal for a front‑office specialist who blends market acuity with rigorous controls.

Responsibilities

  • Execute trades across credit, rates and FX, including corporate/sovereign bonds, CDX and related derivatives, IRS, local and hard currency bonds, and equities.
  • Manage credit and rates exposures (e.g., Treasury/Bund) to optimise returns within mandates and policies.
  • Source liquidity and execute block trades in primary and secondary credit and fixed income; maintain bank, broker and counterparty relationships.
  • Coordinate with the Singapore desk to support a seamless follow‑the‑sun trading model.
  • Oversee cash and collateral: minimise unremunerated cash, resolve overdrafts/settlements promptly, and manage liquidity funds and repos.
  • Safeguard fund values, pricing, allocations and restrictions through robust controls; provide cover across desk workflows.
  • Monitor credit spreads, EM equity and EM local currency debt; work with portfolio managers on instrument selection, credit views and curve positioning.
  • Adhere to risk, compliance and regulatory requirements; maintain professional electronic communications.

Requirements

  • 5–10 years’ front‑office credit trading experience in investment banking or asset management.
  • Strong grounding in emerging markets fixed income, credit instruments and structural features; working knowledge of FX.
  • Candidates with sales backgrounds who are interested in transitioning into trading will also be considered.
  • Knowledge of issuance history, trading practices, counterparties and risk environment across covered countries.
  • High proficiency in Bloomberg and Microsoft Excel/Word; familiarity with Thinkfolio (or similar OMS), TSOX, FXall and MarketAxess.
  • Understanding of portfolio rules, policies and investment restrictions.

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