Job Description
We are partnered with a global hedge fund with a truly impressive track record. Primarily focusing on the rates trading book, globally, broader coverage across macro strategies is beneficial. Responsibilities&Requirements: Partner with PM's daily, ensuring trading adheres to mandate for sizing and appropriateness. Oversee risk taken by portfolio managers, making sure of accordance to given mandate. Provide independent assessment of a traders portfolio At least 10yrs IR/Macro Risk Management experience within another hedge fund or Investment Bank Deep knowledge of interest rates, derivatives and Fx. Ability to communicate and present complex information effectively