Overview A multi-billion dollar hedge fund is seeking a Credit Trader to join its investment team. The role will focus on identifying and executing trading opportunities across global credit markets while working closely with portfolio managers, analysts, and risk teams. The ideal candidate will have strong market instincts, experience managing risk, and the ability to operate in a fast-paced investment environment. Responsibilities
Execute and manage trades across a broad range of credit products and fixed income instruments
Monitor market conditions, liquidity, spread movements, and relative value opportunities
Partner closely with portfolio managers and research analysts on trade ideas and portfolio positioning
Manage risk exposures and ensure adherence to portfolio guidelines and trading limits
Develop relationships with broker-dealers, counterparties, and market participants
Analyze market flows, pricing, and technical factors impacting credit markets
Contribute to portfolio construction, hedging strategies, and trade execution optimization
Assist with trade allocation, execution analytics, and post-trade review processes
Stay current on macroeconomic developments, central bank activity, and credit market trends
Qualifications
Experience trading credit or fixed income products within a hedge fund, asset manager, bank, or proprietary trading environment
Strong understanding of credit markets, market structure, liquidity dynamics, and risk management
Experience working with portfolio managers and investment teams in a fast-paced trading environment
Strong analytical and quantitative skills
Excellent communication and decision-making abilities under pressure