At a Glance
- Tasks: Manage rates, FX, and sovereign credit while driving impactful trading strategies.
- Company: Join a leading global investment firm with a focus on emerging markets.
- Benefits: Competitive salary, performance bonuses, and opportunities for professional growth.
- Other info: Dynamic role with a chance to network with central banks and top economists.
- Why this job: Shape the future of emerging markets with your strategic insights and expertise.
- Qualifications: Proven experience in portfolio management and strong analytical skills.
GIC is seeking an experienced Emerging Markets Portfolio Manager to join its Global Macro team. This senior role will involve managing rates, FX, and sovereign credit with P&L accountability and a strong discretionary mandate.
You will engage with strategists and economists to convert macro views into actionable trades, maintain a robust risk framework, and build a broad external network across central banks and research providers.
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Emerging Markets Macro Portfolio Manager | CEEMEA employer: GIC
GIC is an exceptional employer, offering a dynamic work environment in London where you can engage with industry leaders and contribute to impactful investment strategies. With a strong commitment to employee growth, GIC promotes a hybrid work model that balances in-office collaboration with the flexibility of remote work, fostering a culture of innovation and excellence. Join us to be part of a diverse team that values your input and empowers you to excel in your career while making a meaningful difference in the financial landscape.