S&T exit opps
Currently at a trade house in physical/paper physical commodities and have an FX trader (associate level) role I stumbled on through a personal friend. If I spend 2-3 years running my own book at a large (non-BB though) bank, what do the exit opps look like? Buyside macro trader, with some discretionary abilities? I have run my own spec book for 2-3 years now on the commodity side, so I have a well documented history already of owning risk. Mostly just looking for something different more in the macro space right now.
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