An investment team with over $10Bn in AUM is looking to add a G10 Macro FX/Fixed Income Analyst to the team.
Responsibilities:
- Coverage of macroeconomic trends and monetary and fiscal policy in G10 Countries
- Building and maintaining macroeconomic and pricing models
- Researching implications of global macro themes
- Researching fixed income (focusing on duration and curve, and corporate credit at the asset class level) and FX markets to identify investment opportunities
- Creating and pitching investment recommendations to portfolio manager
Requirements:
- Degree in Economics or related field
- 4-6 years of research experience covering global/US fixed income and FX markets
- Solid grasp of major analytical frameworks relevant for fixed income and FX analysis and deep understanding of macro-economic concepts
- Strong statistics and quantitative skills as position involves extensive quantitative modelling and working with existing quantitative research platform
- Familiarity with programs such as EViews/R/Matlab/Python