Global Macro portfolio Manager/Analyst

Company Overview

ACG Management Pte. Ltd., founded in Singapore in 2009, employs around 70 professionals in a group using a multi-manager strategy primarily in equity market. ACG is aggresively expanding its team and strategies.

Job Summary

We seek global macro traders to generate stable and uncorrelated absolute returns with minimize down side.

Responsibilities

  • global macro research and portoflio management
  • target high sharpe ratio by tight risk management
  • well experienced in rates, currencies, and/or commodities market.
  • Conduct detailed bottom-up or top down research on global markets.
  • Co-working with risk team to build rubost risk system for global macro.
  • Engage professionally with company management, investor relations teams, and sell-side analysts to enhance research quality
  • Apply market-specific knowledge and cultural awareness to deepen research insights and investment theses
  • Collaborate closely with Portfolio Managers to develop, refine, and communicate investment theses aligned with firm strategy

Required competencies and certifications

  • Minimum 3–5 years of experience in global macro investment at buy side or sell side.
  • Fixed Income
  • FX
  • Commodities
  • Equities

Other Information

  • Location: Singapore Office
  • Language Requirement: Market-specific language proficiency relevant to the coverage universe

Benefits and Highlights

  • Join a fast growing multi manager hedge funds.
  • Work in a collaborative and intellectually rigorous environment
  • Play a key role in generating alpha and take a lead for global macro strategy expansion.

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