Discretionary Macro Portfolio Manager
London Area, United Kingdom · Full Time
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- Experience
- Any
- Salary
- —
- Openings
- 1
- Posted
- 2 weeks ago
- Work mode
- In office
- Resume
- Required to apply
Where you'll work
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Job description
About the Role
An established global macro investment firm is expanding its London team by recruiting skilled discretionary macro portfolio managers to manage capital across diverse global markets. This role provides an exceptional chance to handle your own portfolio independently, supported by a robust infrastructure, a comprehensive risk framework, and substantial capital resources.
Key Responsibilities and Qualifications
- Manage and execute discretionary macro investment strategies with a proven, verifiable track record of profit and loss performance.
- Specialize in one or more asset classes including interest rates, foreign exchange (FX), emerging markets, or cross-asset macro strategies.
- Apply rigorous and clearly defined risk management principles to portfolio management.
- Bring experience from hedge funds, multi-manager platforms, or proprietary trading desks at banks.
What We Offer
- Significant capital allocation accompanied by complete strategic independence over your investment approach.
- Transparent compensation linked directly to performance outcomes.
- Office located in London, providing strategic positioning within global macro trading aligned with both Asian and US market sessions.
- Support from a well-established platform offering risk management, advanced technology, trading execution, and operational infrastructure.
How they work
Work Ethic
Independence
Strategic Thinking