G10 Rates & FX Volatility Portfolio Manager | Octavius Finance
Octavius FinanceJob Description
Location: Singapore
Firm: Tier-1 Global Multi-Strategy Platform
Recruitment Partner: Octavius Finance
Octavius Finance has been retained by a leading Large Platform Buy-Side Investment Manager to identify a specialist G10 Rates & FX Volatility Portfolio Manager. Joining the firm’s Singapore-based Global Macro team, you will focus exclusively on G10 developed markets, leveraging a high-performance environment designed for sophisticated volatility strategies.
This platform is defined by its stable institutional capital and an industry-leading infrastructure across risk management, trade execution, and quantitative technology.
Responsibilities:
G10 Portfolio Mandate: Manage a discretionary book focused strictly on G10 Rates and FX Volatility.
Strategy Execution: Generate high-quality alpha through Relative Value (RV), curve positioning, and volatili...
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