Macro Portfolio Manager

AAA Global

New York (NY)

On-site

USD 200,000 - 250,000

Full time

14 days+

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Job summary

A leading investment management firm is seeking a VP - Global Headhunter for Portfolio Management and Trading in New York. The role focuses on connecting high-caliber Portfolio Managers with top-tier hedge funds. Ideal candidates will have a proven track record in trading strategies, particularly Macro, Rates, FX, or Fixed Income. This position offers competitive compensation ranging from $200,000 to $250,000 a year.

Qualifications

  • Candidates should have a verifiable track record of PnL generation.
  • A scalable strategy that fits within a multi-manager model is required.
  • The ideal candidate blends experience with a robust methodology and risk profile.

Responsibilities

  • Partner with leading hedge funds to identify Portfolio Managers.
  • Align candidates with funds that match their risk appetite and preferred working environment.
  • Provide access to larger capital allocations and enhanced trading support.

Skills

Proven track record in Macro, Rates, FX, or Fixed Income trading
Experience in discretionary, systematic, or hybrid/quantamental approaches
Strong understanding of portfolio construction
Risk management skills
Capital efficiency knowledge

Job description

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This range is provided by AAA Global. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

$200,000.00/yr - $250,000.00/yr

Direct message the job poster from AAA Global

VP - Global Headhunter | Portfolio Management and Trading

AAA Global is partnering with several of the world’s leading multi-manager hedge funds to identify high-calibre Portfolio Managers and Sub-PMs/Traders across a range of liquid macro strategies, including G10 Rates and FX.

These roles are open to individuals running discretionary, systematic, or relative value strategies with a strong and verifiable track record of PnL generation. Depending on the specific fund and stage of your career, opportunities can offer access to larger capital allocations, greater trading autonomy, or enhanced infrastructure and resources to support your next phase of growth.

Each platform differs slightly in structure and style, allowing us to align candidates with funds that best match their risk appetite, strategy profile, and preferred working environment. Whether you’re seeking a more collaborative setting, more flexible risk parameters, or the chance to scale your strategy with better technology and execution support - we’re working with platforms that can accommodate those needs.

Ideal candidates will have:

  • A proven track record in Macro, Rates, FX, or Fixed Income trading.
  • Experience in discretionary, systematic, or hybrid/quantamental approaches.
  • A scalable strategy that fits within a multi-manager model.
  • Strong understanding of portfolio construction, risk management, and capital efficiency.

Key strategy areas:

  • We are primarily interested in strategies focused on G10 and other developed markets, with a preference for short- to medium-term trading horizons.
Seniority level
  • Seniority level
    Not Applicable
Employment type
  • Employment type
    Full-time
Job function
  • Job function
    Finance and Other
  • Industries
    Investment Management and Financial Services

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