Portfolio Manager, Global Macro Relative Value

1 week ago


Singapore T+O+M Full time $150,000 - $200,000 per year

This is a unique opportunity for an experienced trader to build and manage their own portfolio within a supportive and well-capitalized framework. You will be trading across a range of asset classes, including FX, rates, equities, and commodities. The ideal candidate thrives in a dynamic environment and has a deep understanding of trading infrastructure and fund operations.

Key Responsibilities

    • Execute and manage trading strategies in the global macro relative value space.
  • Utilize advanced trading infrastructure and technology, including low-latency systems and prime broker relationships.
  • Oversee and contribute to the operations of a co-mingled fund, including a deep familiarity with the Variable Capital Company (VCC) structure and CMS-licensed fund management.
  • Manage your own sub-fund or integrate into a larger master fund structure, depending on the portfolio strategy.

Candidate Profile

    • Minimum 7-10 years of trading experience, with at least 5 years specifically within a fund environment.
  • Proven track record of generating alpha in a multi-asset trading context.
  • Strong technical knowledge of trading platforms, market structure, and risk management.


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