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Rates/FX Sub-Portfolio Manager

Job description

Multi-billion hedge fund is looking to expand its footprint in Asia. They are looking for a high-calibre Rates/FX Derivatives sub-Portfolio Manager to run meaningful risk across discretionary or systematic rates strategies on Asia-Pacific markets, working directly alongside the Senior Asia Macro PM to contribute to the Asia build-out. Responsibilities: Run a dedicated Asia Rates/FX book with full discretion on curve trades, carry, roll-down, relative value, and directional bets. Generate alpha from market inefficiencies, exploiting mispricings in interest rates, FX forwards, and other derivatives products. Collaborate closely with the Senior Asia Macro PM to develop and implement trading strategies that align with the firm's overall macro views. Develop and maintain strong relationships with key counterparties, including banks, brokerages, and other financial institutions. Ensure seamless integration of new trades into existing portfolios, leveraging expertise in risk management, portfolio construction, and market analysis. Contribute to the development of the Asia Macro PM team by mentoring junior colleagues and sharing knowledge gained from experience. Requirements: Strong understanding of interest rates, FX markets, and derivatives products. Proven track record of generating alpha through trading or investment decisions. Excellent analytical and problem-solving skills, with ability to work independently and as part of a team. Strong communication and interpersonal skills, with ability to build and maintain relationships with key stakeholders. Ability to work in a fast-paced environment with multiple priorities and deadlines. Certification: CFA Charterholder or equivalent.

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Company information

Company
Bohan
Location
Singapore
Singapore
Posted
6 months ago

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