Full-Time

Portfolio Manager

Updated on 9/3/2026

Pharo Management

Pharo Management

No salary listed

London, UK

In Person

Bachelor's, Master's, PhD

Category
Finance & Banking (1)
Required Skills
Risk Management
Requirements
  • The candidate must have a demonstrably strong track record of managing sizeable capital for a relevant period of time with a high Sharpe ratio.
  • The candidate must have a proven track record of producing strong risk-adjusted returns.
  • The candidate must have a strong understanding of portfolio construction and risk management.
  • The candidate must have excellent analytical and quantitative skills with strong attention to detail.
  • The candidate must have a Bachelor's degree or Master's/PhD, preferably in a quantitative discipline.
  • The candidate must have strong written and verbal communication skills.
  • The candidate must demonstrate a strong work ethic and team spirit.
Responsibilities
  • Develop and execute a clear, disciplined, and sustainable investment process that produces strong ideas.
  • Manage a portfolio in Emerging Markets credit, interest rate, and foreign exchange instruments in accordance with established trading and risk parameters.
  • Collaborate and share market views with partners, other portfolio managers, and the research team.

Company Size

N/A

Company Stage

N/A

Total Funding

N/A

Headquarters

N/A

Founded

N/A