Portfolio Manager – Global Macro & Fixed Income Relative Value
Meraki Talent · Doubaï
Job description
About the role
We are partnering with a leading global investment platform to expand its capabilities in Dubai. The firm seeks an experienced Portfolio Manager to lead a Global Macro and Fixed Income Relative Value strategy, delivering strong risk‑adjusted returns across market cycles.
Key responsibilities
- Design, implement and manage a diversified macro and relative‑value portfolio covering rates, FX, emerging markets and cross‑market opportunities.
- Generate consistent returns across different market environments while adhering to disciplined risk management.
- Allocate significant capital and oversee the scaling of the book with full infrastructure support.
- Collaborate with research and trading teams to identify genuine edge and attributable performance.
- Maintain rigorous performance attribution and risk reporting.
Required profile
- Proven track record of generating returns in macro and relative‑value strategies across market cycles.
- Experience managing large fixed‑income and FX portfolios, preferably with exposure to emerging markets.
- Willingness to relocate to or already based in the Middle East, with openness to Dubai.
- Strong discipline in risk management and performance attribution.
Required skills
- Global Macro strategy development
- Fixed Income Relative Value analysis
- FX and emerging market exposure
- Macro derivatives trading
What we offer
- Significant capital allocation and resources to build a substantial book.
- Comprehensive infrastructure and support for portfolio scaling.
- Opportunity to work within a leading global investment platform with a broad mandate.
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Published 1 week ago
Expires 1 month from now
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Meraki Talent
Doubaï