- To provide coverage for our macro strategy research and investment calls in the fixed income and foreign exchange space
- Specific coverage acrossglobal markets
- To build relationship with the policymakers and think-tanks
- To build up and strengthen the macro research and strategy process and framework
- Develop and recommend investment strategies for fixed incomeportfolios, considering macroeconomic trends and market conditions
- Monitor and interpret economic data, interest rate movements, and fiscal and monetary policies to assess their impact on fixed income markets
- Provide regular and ad-hoc reports on market developments, yield curves, spread analysis, and risk assessments to portfolio managers
What qualifications or skills should you possess in this role
- Between 2to 6 years experience in a global macro research within Developed Marketswith ability to link the dots between macro, markets and positioning of major market participants
- Knowledge in international monetary system and/or economic history
- Macroeconomic and policy analysis of sovereigns
- Experience with asset allocation is desirable
- Strong research and investment strategy formulation background, including strong technical experience and analytical skills
- Team player and self-driven with ability to anticipate changing market dynamics