Our client is a US/European Macro hedge fund trading cash, linear derivatives and volatility products across equities, rates/FX and commodities who have just begun expanding in Asia across major financial centres.
Our client is actively hiring Rates/FX Volatility Portfolio Manager to trade DM and EM markets. This is a strong opportunity to join a fund who understands risk trading and are not limited by strict drawdown limits. This fund run sizable capital and want to deploy capital to a experienced Rates/FX traders. We are seeking experienced PM who have been running over USD 100 mio in capital.
We will also consider junior PMs trading Rates/FX to join as a sub-PM under Senior PM with the potential of running a smaller fund under the guidance of Sr PM.