Arion Investment Management
Commodities Portfolio Manager

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Company Description
Arion Investment Management Limited is a London-based commodities investment management company, authorised and regulated by the UK Financial Conduct Authority (FCA). The firm is also registered with the U.S. Commodity Futures Trading Commission (CFTC) as a Commodity Pool Operator and Commodity Trading Advisor and is a member of the National Futures Association (NFA). Arion focuses exclusively on investing in the commodity space, offering both fund solutions and bespoke, client-led services. The company prides itself on its ability to navigate complex commodity markets and deliver specialized investment strategies for institutional and professional clients.
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I’m in my final year doing Economics and I don’t know whether to apply for grad schemes now or do a masters first. What do you think?
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Graduate Consultant — 2026 Scheme
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StrongYour economics background and your summer at a regional bank line up with what PwC looks for on the consulting scheme. Applications close in four weeks.
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You’ve got the grades and the economics background, and your bank internship is exactly the experience this scheme looks for. Apply soon — deadlines close within the month.
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Your summer at the bank plus your econometrics coursework map directly to the day-one responsibilities on this scheme — client modelling, market briefings, and deal support.
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Role Description
This is a full-time Commodities Portfolio Manager role based in the London Area, United Kingdom, with a hybrid working arrangement that allows for a mix of office-based and remote work. The PM will have a proven track record trading in a similar set-up. The PM will research and analyse global commodity markets, monitor positions, and execute trades in line with the firm’s strategies and risk parameters. Day-to-day responsibilities include developing and implementing trading strategies, managing risk and hedging exposures. The role also involves collaborating with the various stakeholders of the business.


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Qualifications
- A verifiable track record for a minimum of 3 years trading Commodity Markets.
- Solid understanding of derivatives, risk management, and portfolio construction.
- Knowledge of Hedging strategies and techniques to manage risk.
- Effective communication skills and the ability to work collaboratively in a fast-paced environment.
- Bachelor’s degree or higher in Finance, Economics, Mathematics, or a related field; relevant professional certifications (e.g., CFA) are a plus.
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