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Emerging Markets Macro Portfolio Manager

Job

Selby Jennings

New York, NY (In Person)

Full-Time

Posted 2 days ago (Updated 17 hours ago) • Actively hiring

Expires 7/6/2026

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Job Description

Emerging Markets Macro Portfolio Manager - Global Multi-Strategy Hedge Fund (NYC) Our client is a $20bn+ global multi-strategy hedge fund undergoing a significant growth phase, driven by the appointment of a high-profile CIO to build out a next-generation platform . With consistent double-digit performance (10%+ annual returns) and strong investor inflows, the firm is actively expanding its Emerging Markets Macro capability in New York. This represents a rare opportunity to join a well-capitalized platform with meaningful capital allocation, true autonomy, and long-term partnership upside -while operating in a collaborative, non-siloed environment . The Opportunity Build, scale, and run an Emerging Markets Macro portfolio within a large, well-capitalized multi-strat platform Significant day-one capital allocation , with the ability to scale based on performance Operate within a pod-based structure where each PM runs an independent strategy with direct ownership of P&L Backed by best-in-class infrastructure , centralized risk, and execution support Opportunity to hire and develop your own team , effectively building a business within the broader platform Join during a high-growth phase under new leadership , offering strong upward mobility and long-term franchise building Role & Responsibilities Independently manage an EM macro portfolio , generating alpha across rates, FX, credit, and commodities Develop and execute a clear, repeatable investment process based on macroeconomic and geopolitical analysis Construct portfolios around global macro themes, policy divergence, and EM-specific dislocations Take outright risk and relative value positions across liquid instruments and derivatives Maintain strict risk discipline , continuously managing exposures and drawdowns Collaborate with senior leadership and other PMs to share insights and contribute to overall platform strategy Candidate Profile Proven EM Macro track record with demonstrable PnL ownership and risk-taking experience on the buyside. Strong expertise across EM FX, local rates, sovereign credit, and/or macro derivatives Experience running capital within a hedge fund, prop trading, or similar buyside risk-taking environment Demonstrated ability to generate consistent, risk-adjusted returns (Sharpe-driven mindset) Entrepreneurial mindset, with the desire to build and scale a strategy within a platform Collaborative approach-seeking a team-oriented culture vs. purely siloed pod structures
Why This Platform True Autonomy:
Each PM operates as a self-contained business unit with full discretion over strategy and capital deployment
Competitive Economics:
Market-leading PnL payout structure , with clear upside linkage to performance
Partnership Potential:
Top performers have a pathway to long-term economics and strategic influence
Collaborative Culture:
Differentiated vs. traditional pod shops- information sharing and idea generation encouraged
Lean PM Structure:
Smaller headcount at the senior level, offering real visibility and impact on firm performance and direction
Institutional Backing:
Access to deep capital, infrastructure, and global footprint without the constraints of legacy platforms Location New York City - core hub for global macro investing, with proximity to senior leadership and key decision-makers