1

Macro Manager Jobs (NOW HIRING)

Associate, Macro team

Washington, DC · On-site

$55K - $60K/yr

The Associate will serve as a "utility infielder" across the Global Macro and Research Management teams-supporting core research production, drafting first-pass analysis, and ensuring strong ...

About AQR Capital Management AQR is a global investment firm built at the intersection of financial ... The Macro and Multi Strategy group focuses on all aspects of research and portfolio management for ...

About AQR Capital Management AQR is a global investment firm built at the intersection of financial ... The Macro and Multi Strategy group focuses on all aspects of research and portfolio management for ...

A well-established quantitative portfolio management team at Point72 is looking for an experienced quantitative professional in the intraday to mid frequency systematic macro space. The candidate ...

About AQR Capital Management AQR is a global investment firm built at the intersection of financial ... The Macro and Multi Strategy group focuses on all aspects of research and portfolio management for ...

A well-established quantitative portfolio management team at Point72 is looking for an experienced quantitative professional in the intraday to mid frequency systematic macro space. The candidate ...

About Us Wellington Management offers comprehensive investment management capabilities that span ... About the Role THE POSITION We are seeking to hire a Macro Trader to focus on execution of orders ...

next page

Showing results 1-20

Macro Manager information

See salary details

$29K

$104.6K

$118K

How much do macro manager jobs pay per year?

As of Jun 19, 2026, the average yearly pay for macro manager in the United States is $104,575.00, according to ZipRecruiter salary data. Most workers in this role earn between $114,000.00 and $116,500.00 per year, depending on experience, location, and employer.
What cities are hiring for Macro Manager jobs? Cities with the most Macro Manager job openings:
Discretionary Global Macro Portfolio Manager

Discretionary Global Macro Portfolio Manager

MKP CAPITAL MANAGEMENT LLC

Manhattan, NY • On-site

Full-time

Posted 11 days ago


Job description

Discretionary Global Macro Portfolio Manager

Overview

Global alternative investment manager searching for a Discretionary Global Macro Portfolio Manager to join team as part of a global investment team with offices in London/NY/Miami/Singapore. The candidate should have at least two (2) years of risk-taking experience with full discretion of a portfolio or trading book. This role will manage at least $250M of capital and can grow quickly depending on experience/performance.

Responsibilities

  • Manage a dedicated capital allocation within the firm’s discretionary directional global macro fund primarily investing in developed markets.
  • Manage risk through identifying thematic trades within mandate with emphasis on risk management, involving daily reconciliation of position risk exposures and interaction with the risk management team.
  • Employ portfolio hedges of related macro risks as necessary.
  • Work within a collaborative framework and participate in internal weekly meetings freely sharing developments, themes and investment ideas within the global macro landscape.
  • Collaborate with internal Strategy & Research team to discuss macro themes, investment ideas and relative value as well as offer feedback/input to portfolio valuation.
  • Liaise with Associate Portfolio Manager/Portfolio Manager teams globally on best execution of all trades.
  • Facilitate and manage information flow/communication with counterparties.
  • Engage in quarterly performance review with the Investment Committee.
  • Participate in meetings with existing and potential investors, as required.

Qualifications

  • Undergraduate degree, CFA a plus.
  • Minimum eight (8) years related work experience and at least two (2) years with a dedicated capital allocation focusing on developed markets.
  • Relevant experience managing at least $250mm capital allocation or trading book.
  • Demonstrate and articulate a successful, repeatable investment process with a demonstrated edge, including demonstrable development of views to how trades are ultimately implemented in the portfolio.
  • Ability to take own domain knowledge and share it amongst the investment team with an openness to learn and operate within fund investment framework.
  • Strong quantitative, analytical and financial modeling skills.
  • Ability to contribute concise, effective investment themes/ideas to entire investment team within a highly collaborative culture.
  • Ability to express and connect views through best risk-reward strategy with consideration to overall portfolio construction.
  • Team player and adaptive to different market environments
  • Commitment to the highest ethical standards.