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This role will report into a Partner and work on developing and improving their risk and portfolio construction framework. They will work closely with the portfolio management team and CIO office on ad hoc analysis and projects. You must have strong experience working with Credit Derivatives.
Successful candidates will have an advanced degree in a quantitative discipline with extensive years of credit derivatives risk experience at a hedge fund. As this is a highly visible team, communication skills and the ability to interact at all levels of seniority are key