Role Summary
This role will report to Head of Global Macro.
Key Duties and Responsibilities
· Manage macro fixed income portfolios with an active approach
· Track record of translating Fixed Income macro views into positive alpha across DM and EM principally in Rates and FX markets
· Formulate and construct directional and relative value investment strategies in Rates and FX
· Develop the firm’s global macro and broaden global fixed income capabilities
· Work closely with other fixed income team members and collaborate with the broader Investment Group to assess investment opportunities in the macro portfolios
· Contribute to the investment process including strategy formulation, portfolio construction and mandate compliance
· Support business development efforts, which may include marketing pitches to prospects and clients
· Work with Business Development and Product to identify solution to clients/investors (with consideration of clients’ risk profile and investment objectives) and help to further grow fixed income AUM
Education Qualification
· Bachelor’s degree in finance, economics or a relevant discipline
· Preferably a CFA charter holder
Experience and Skills
· 7 to 10 years of relevant experience in managing capital from hedge funds/proprietary trading background
· Strong understanding of risk, portfolio construction and cross asset correlation
· Possess deep understanding of global fixed income, particularly on global FX and rate markets
· Embrace a collaborative and open working culture
· Excellent written and verbal communication, demonstrate ability to communicate effectively to all stakeholders