Position: Portfolio Manager - Macro or Credit
Overview: A global asset management platform is seeking a seasoned Portfolio Manager specializing in Macro or Credit strategies to join its Hong Kong-based investment team. The team is led by a highly experienced Portfolio Manager with a strong track record in macro and credit markets across New York and Asia.
Key Responsibilities: - Lead portfolio management activities focused on Asia macro or credit strategies.
- Formulate and execute investment strategies aligned with market opportunities and risk parameters.
- Conduct comprehensive market research and analysis to identify trends and actionable insights.
- Manage risk exposures and ensure compliance with internal and regulatory standards.
- Collaborate with global investment teams to integrate regional strategies into broader objectives.
Qualifications: - Minimum of 10 years of experience in portfolio management within macro or credit markets, with significant exposure to Asia.
- Proven track record of trading and managing positions in credit, rates, and FX on the buyside.
- Strong understanding of global macroeconomic drivers and credit market structures.
- Exceptional analytical, quantitative, and communication skills.
- Ability to thrive in a high-performance, collaborative environment.
Compensation & Incentives: - Competitive base salary complemented by a performance-based P&L participation structure.
- Attractive bonus potential tied directly to portfolio performance.
- Access to world-class research and trading infrastructure within a global platform.