Run a concentrated, RV‑driven macro book with real balance sheet behind it.
Own a discretionary macro RV book across G10 rates and FX (cross‑asset a plus).
Generate trade ideas from a clear, repeatable framework rather than theme‑of‑the‑day.
Work with best‑in‑class risk, tech and execution support.
Scale risk as the signal strengthens; cut fast when it doesn’t.
3–5+ years running a risk‑owned macro / RV book on a platform, single‑manager fund or top prop desk.
Demonstrable, audited P&L with sensible risk usage and low blow‑ups.
Experience trading swaps, futures, options, and relative‑value structures (flies, curve, basis, cross‑market).
Strong macro intuition plus a defined RV process.
Comfort running risk through events, data and illiquid patches.
Solid data skills (Excel/Python or similar) for scenario and RV analysis.
Clear communication with risk, capital allocators and execution.