Job responsibilities/duties:
The role will support the Senior Portfolio Manager in managing, executing, and monitoring the macro portfolio within the specified risk limits. Additionally, the candidate will be responsible for trading macro products, providing market insights, and assisting in portfolio optimization, with a focus on Emerging Markets and Asia.
Qualifications:
· At least 1 year of proven track record in macro trading, with expertise in trading macro products such as futures, FX, Interest Rates, Bonds and swaps.
· Candidates with non-linear options trading experience are preferred, though those with a linear macro trading background will also be considered.
· Knowledge of coding in VBA and Python would be advantageous.
Min years of experience (overall industry)
At least 5 to 10 years of relevant macro trading experience at a buy-side hedge fund or sell-side firm.
Any other skillset and requirement
Strong analytical and problem-solving skills with attention to detail, along with the ability to work independently and collaboratively in a team environment.
Preferred field of study/education
Master's or Bachelor's degree in Economics, Quantitative Finance, Financial Engineering, Mathematics, Statistics, Computer Science, or a related field.
Min – Max monthly salary range
Between SGD 15,000 to SGD 20,000+