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A global investment firm based in Singapore is looking for an experienced professional to work with a Macro Portfolio Manager. This role involves executing trades, conducting market analysis, managing counterparty relationships, and rebalancing the portfolio periodically. Ideal candidates will have a degree in Quantitative Finance or similar, at least 5 years of trading experience in Asia FX/Rates, and strong analytical skills with Python proficiency.
Balyasny Asset Management (BAM) is a global, multi-strategy investment firm with over $21 billion in assets under management. We are a diversified business, with global breadth and depth. Our firm has a clear mission: To consistently deliver uncorrelated returns in all market environments. Today, BAM employs more than 160 portfolio managers and 1,200 investment professionals across 19 offices in the U.S., Europe, the Middle East, and Asia. We are active across six investing strategies: Equities Long/Short, Equities Arbitrage, Macro, Commodities, Systematic, and Growth Equity. We also have a dedicated private investment team, BAM Elevate, and a standalone equities unit, Corbets Capital.