Position Overview
We are building a pipeline of talent for future opportunities within our Fixed Income and Currencies team, supporting a multi-asset portfolio across fixed income, credit markets, foreign exchange, and derivatives.
What you will be exposed to
- Global macroeconomic developments and their impact on rates and FX
- Credit research and investment evaluation across key sectors
- Fixed income portfolio and FX position monitoring
- Market and portfolio reporting to senior management and board-level stakeholders
- External fund manager and hedge fund performance oversight
Who we are looking for
- Professionals with ~3+ yearsβ experience in investment, finance, or economic research
- Background in Accounting, Finance, Economics, or related disciplines
- Exposure to macroeconomics, fixed income, FX, or rates research preferred
- CFA (completed or in progress) is advantageous