Portfolio Manager
Prior PM experience is a must as is a solid track record of achievement. It is desired that returns of in or around 8% to 10% will be achieved per annum, meaning capital preservation is of the essence.
One will be operating in a close knit team so personality fit is important. The fund in question will follow a long / short theme with a strong bias towards commodities and FX asset classes. Access will be provided to the best research available in the market.
Only candidates who tick all the relevant boxes will be shortlisted for consideration for our client.
Should this opportunity sound like it may be of interest, then please send through an up to date CV in the strictest of confidence.
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