We are representing a premier global macro hedge fund with a proven track record of performance and innovation in the search for Macro Portfolio Managers to join them in 2025.
Apply below after reading through all the details and supporting information regarding this job opportunity.
Candidates will ideally have a minimum of 5 years of track record, generating $10m in P&L annually, while maintaining strong risk-adjusted returns.
Role & Responsibilities: Emerging Market Macro: Expertise in leveraging global macroeconomic trends in emerging markets to deliver alpha.
Fixed Income Relative Value: Proven ability to capitalise on inefficiencies across the yield curve and related instruments.
Other Liquid Macro Strategies: Including but not limited to FX, commodities, and equity indices.
Skills and Qualifications: Strategy Flexibility: Open to fully systematic, semi-systematic, or fully discretionary approaches.
Asset Class Focus: Experience trading liquid instruments such as FX, futures, options, rates, or equities.
Risk Management Excellence: Demonstrated ability to manage portfolio risk effectively in volatile markets.
The Offer: Access to their sophisticated infrastructure, cutting-edge technology, and robust operational support.
A collaborative and entrepreneurial culture designed to foster innovation and performance.
Competitive compensation aligned with your contributions and results.