EM Macro Investment Analyst - London - Global Asset Manager

Recruiter
Logan Sinclair
Location
London, United Kingdom
Salary
Competitive + Bonus + Benefits
Posted
15 Nov 2022
Closes
15 Dec 2022
Ref
16909411
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Responsibilities:
  • Evaluate and support investment ideas across emerging market debt.
  • To provide quantitative and qualitative analysis on macro and fundamental trade ideas.
  • The successful candidate will help create or refine a variety of tools to develop clear analsis or screening of the universe.
  • Collaborating with the two portfolio managers on the desk that manage the three portfolios and supporting them with day-to-day aspects of the role
  • You will have an understanding of systematic and manual execution strategies and be able to communicate effectively about those strategies with Equity Traders and counterparties
  • Maintain a high quality and consistency of work with respect to financial modeling, analysis, monitoring of the geo-political landscape and macroeconomic environment.
  • Keeping up-to-date on industry norms, technologies, regulations and regional news.
  • You will build and maintain strong internal and external relationships.


Requirements
  • Up to 5-10 years of experience ideally, within a similar role, but could vary depending on circumstances.
  • Strong academics, with a bachelors/masters degree.
  • Good understanding of the macro environment and how this relates to emerging markets
  • Experience with data analysis and statistical modeling.
  • You have practical knowledge with programming languages such as Python, SQL, VBA etc for helping to build screening tools on the desk
  • You demonstrate strong organizational skills, multi-tasking skills, and attention to detail.