Discretionary FX/Rates Portfolio Manager New York, NY About the Client: Our client is a global hedge fund with more than $50bn in assets. Renowned for its outstanding performance and innovative strategies. With a track record of impressive returns, working for this fund means being part of a firm that consistently outperforms the market. The firm employs a diverse range of sophisticated strategies, from fixed-income macro trading to systematic and relative value trading. They are seeking a highly skilled and experienced Rates/FX Portfolio Manager. The ideal candidate will have a deep understanding of G10 markets, a proven track record in managing fixed income portfolios, and the ability to generate alpha through innovative strategies. Key Responsibilities: Manage and optimize a portfolio focused on Rates and FX markets. Develop and implement trading strategies to achieve superior risk-adjusted returns. Conduct in-depth market analysis and research to identify investment opportunities. Monitor and manage portfolio risk, ensuring adherence to the firm's risk management framework. Collaborate with other portfolio managers and analysts to share insights and strategies. Maintain a high level of market knowledge and stay updated on global economic trends. Qualifications: Proven track record in Rates/FX portfolio management with a measurable performance history. Demonstrated ability to achieve a Sharpe ratio of 1.5% or higher. Strong analytical skills and experience with quantitative analysis. Excellent understanding of global macroeconomic factors and their impact on Rates/FX markets. Ability to work effectively in a fast-paced, collaborative environment. Advanced degree in Finance, Economics, or a related field preferred.