Experienced Global Macro Portfolio Manager required – Leading buy side organisation – London – Up to £200k + Package recruitment
Montash Associates is working closely with a well-established, market leading buy side firm looking to extensively expand their Global Macro team in London.
The group is looking for experienced individuals with a proven track record that can come on board and develop exception returns on proprietary and client capital.
This individual must have a proven, demonstrated trading method that can be quickly implement and applied when joining this firm. The amount of capital allocated is entirely dependent upon the specific individuals, and they are looking for both junior and senior PMs as they are expanding across the board.
There will be extensive client interaction, so excellent communication and presentation skills are essential.
A strong track record is essential; returns should exceed 10% with low volatility with a directional or relative value based approach.
Strict risk limits will be enforced, so you must be diligent and focussed to sticking within these.
To summarise, the core requirements for this position are:
• Experience as a Global Macro Portfolio Manager / Researcher. Any experience level
• Consistent, positive returns with low volatility
• Excellent communication skills
In return for this the package and career potential on offer is exceptional. The specific package will be entirely dependent upon the specific individual, but as a guideline base salaries will be up to £200k. There will be a strong package on top of this.
To apply, please send a copy of your CV to edwardb@montash.com. Alternatively I can be contacted on 0207 749 6060. All conversations and applications will be treated in the strictest confidence.
Ref: EB/GMPM/108
Key works: portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager, portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager, portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager, portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager, portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager, portfolio manager, PM, trader, global macro, rates, credit, em, commodities, fixed income, multi asset, trading, trader, portfolio manager, buy side, sell side, fx, rates, pm, asset manager, hedge fund, uk, London, portfolio manager