A top-tier Fixed Income Hedge Fund is seeking a Macro Portfolio Manager to lead and execute discretionary macro trading strategies across global fixed income markets. This is a high-impact role that offers access to significant capital, cutting-edge infrastructure, and a highly collaborative investment team.

Key Responsibilities:
- Develop and manage discretionary macro strategies with a focus on rates, FX, sovereign debt, and fixed income derivatives.
- Analyze macroeconomic trends, central bank policies, and geopolitical developments to identify investment opportunities.
- Optimize risk-adjusted returns while adhering to portfolio risk and capital constraints.
- Work closely with research teams, quants, and traders to enhance strategy execution.
- Utilize proprietary and third-party data to develop insights and models supporting decision-making.
Requirements:
- Proven track record in discretionary macro trading, ideally within a hedge fund or top-tier proprietary trading firm.
- Deep expertise in fixed income, rates, FX, and macroeconomic analysis.
- Strong risk management skills with a disciplined approach to capital allocation.
- Ability to operate in a fast-paced, high-pressure trading environment.
- Programming skills (Python, R, or MATLAB) are a plus but not required.
This is a rare opportunity to run a macro book at a leading fixed income hedge fund. If you have a strong track record and are looking for a platform to scale your strategies, apply now!
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