Portfolio Manager – Macro Fund

SG, Singapore

Job Description

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Role Overview



We are seeking an experienced

Portfolio Manager

to lead discretionary macro trading within our new fund vehicle. The successful candidate will manage a portfolio across liquid global markets, applying strategies grounded in macroeconomic fundamentals and quantitative discipline.


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Key Responsibilities



Manage and execute discretionary macro trading strategies across FX, rates, fixed income, commodities, and equity index futures. Develop and implement alpha-generating ideas while maintaining strict risk controls and adherence to fund-level drawdown and VaR limits. Monitor global macroeconomic trends, central bank policies, and market liquidity to identify asymmetric opportunities. Contribute to the overall investment process by integrating cross-asset insights and enhancing portfolio diversification.
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Qualifications



10+ years of experience in global macro, rates, or FX trading -- preferably at a leading bank, hedge fund, or proprietary trading desk. Proven track record of consistent profitability and disciplined risk management across multiple market cycles. Deep understanding of global monetary policy, interest-rate dynamics, and cross-asset correlations. * Strong leadership and communication skills; ability to work independently within a collaborative, entrepreneurial environment.

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Job Detail

  • Job Id
    JD1661392
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    SG, Singapore
  • Education
    Not mentioned