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Macro/ Credit Portfolio Manager

2 weeks ago


Hong Kong, Hong Kong SAR China Selby Jennings Full time

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.