Portfolio Manager Global Macro / Fixed Income Relative Value.
Meraki Talent- Posted 16 hours ago
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Job Description
Portfolio Manager – Macro / Relative Value | Singapore
I'm working with a leading global investment platform looking to add established Macro and Relative Value Portfolio Managers in Singapore.
The focus is on proven risk-takers with a demonstrable investment edge, strong risk discipline and a track record of generating consistent returns.
Relevant strategies include:
• Global Macro
• Rates / Fixed Income RV
• FX
• Emerging Markets
• Cross-market / Relative Value
• Macro derivatives
This is aimed at established Portfolio Managers running meaningful risk, rather than candidates looking to make their first move into a PM seat.
The platform can provide significant capital, institutional infrastructure and the ability to scale compelling strategies.
Singapore-based PMs are of particular interest, although I'm also keen to speak with established investors elsewhere who would seriously consider relocating.
If you are quietly considering what the next chapter might look like, feel free to reach out directly.
All conversations will be treated in complete confidence.
