Our client is a multi-billion dollar AUM Systematic Hedge Fund looking to expand their Hong Kong office by recruiting a high-caliber experience Multi-Asset Macro Trader who can work closely with Portfolio Managers on market knowledge, market trends, and trading performance.
The responsibilities of the Multi-Asset Macro Trader role includes:
- Design, Develop and Enhance trading execution strategies
- Ensure optimal execution services to Portfolio Managers
- Undertake day-to-day risk, regulatory, and compliance concerns with regards to trade execution activities in APAC
- Work closely with operation and technology development teams
- Manage and broker relationships with various counterparts in the trading process, providing clear and accurate feedback to execution counterparts
The requirements for the Multi-Asset Macro Trader role includes:
- Minimum 3-5+ years experience in Buy-side Trading
- Strong exposure to Macro Products including interest rate, interest rate swaps, credit default swaps, credit default swaps indices, futures
- Experience working Portfolio Managers
- Good written and spoken English
- Good network of sell-side contacts
- Good technical abilities particularly in data analysis and management