Job Openings Hedge Fund Manager

About the job Hedge Fund Manager

Job Title - Hedge Fund Manager

About the Role

You will lead the investment strategy and execution of a hedge fund, managing a diversified portfolio, overseeing risk, and delivering strong returns for investors. This is a highly strategic and hands-on role requiring deep market insight, strong analytical skills, and the ability to make high-stakes decisions under uncertainty.

Key Responsibilities

Develop & Implement Investment Strategy

Define and refine the funds investment thesis, asset-allocation framework, and hedging strategies.

Allocate capital across various asset classes (equities, fixed income, derivatives, forex, commodities, etc.) based on market opportunities, fund objectives, and risk parameters.

Research & Market Analysis

Conduct in-depth research, fundamental and technical analysis, and macroeconomic forecasting to identify investment opportunities.

Monitor global financial markets, macro trends, and geopolitical risks, adjusting strategies based on evolving conditions.

Risk Management

Develop and maintain a robust risk-management framework, including setting risk limits, stress testing, and hedging strategies.

Regularly evaluate portfolio risk exposures and implement corrective actions to protect investor capital.

Portfolio Management

Oversee day-to-day portfolio operations: entering/exiting positions, rebalancing, and managing liquidity.

Review and optimize performance continuously, ensuring alignment with fund objectives and investor expectations.

Investor Relations & Reporting

Maintain regular and transparent communication with investors: provide updates on strategy, performance, and market outlook.

Prepare detailed performance reports, presentations, and analyses for stakeholders and the investment committee.

Compliance & Governance

Ensure the fund adheres to regulatory requirements, internal policies, and industry best practices.

Oversee the implementation of governance frameworks, counterparty due diligence, and operational risk controls.

Team Leadership

Manage and mentor a team of analysts, traders, and support staff.

Drive a collaborative culture and ensure high performance, integrity, and alignment to the funds mission.

Continuous Improvement

Continuously evaluate and adopt new tools, models, and strategies to improve decision-making, risk management, and performance outcomes.

Stay up-to-date on industry developments, regulatory changes, and emerging investment strategies.

Qualifications & Experience

Bachelors or Masters degree in Finance, Economics, Mathematics, or a related field.

Minimum 710 years of experience in hedge fund management, portfolio management, or a senior investment role.

Proven track record of managing assets and delivering risk-adjusted returns.

Strong quantitative and analytical skills: financial modeling, valuation, risk metrics.

Deep understanding of various asset classes, derivatives, and hedging techniques.

Excellent communication skills, with experience reporting to investors and board-level committees.

Strong leadership capabilities and experience managing investment teams.

Professional certifications (CFA, CAIA) preferred.

High ethical standards, fiduciary mindset, and commitment to compliance.

Key Competencies & Behaviours

Strategic foresight and strong decision-making capability

Resilience under market stress and volatility

High intellectual curiosity and capacity for independent thought

Excellent interpersonal skills and ability to build trust with investors

Integrity, professionalism, and a commitment to ethical investing

Adaptability and continuous learning mindset

What We Offer

Competitive base compensation plus performance-based incentives

Significant upside potential aligned with fund performance

An influential leadership role within a growing asset management business

Opportunity to shape investment strategy, build a high-performing team, and deliver value to sophisticated investors

Apply now!