We are seeking a motivated and analytical Junior Multi-Asset Strategist to join our Strategy team within Global Financial Markets / Group Research. This role is designed for a candidate with strong macroeconomic and cross-asset knowledge, keen interest in financial markets, and the ability to support senior strategists in delivering timely and actionable insights to sales and trading.
You will work across the different asset classes including FX, Rates, Commodities to help build a coherent top-down market view, produce strategic content, and in trade idea generation. The position is highly collaborative, requiring coordination with senior strategists, research, sales, products and trading desks. In time, you will specialise in 1-2 asset classes and be the go-to authority for market views.
Key Responsibilities
- Provide top-down tactical ideas on FX, Rates and commodities. Leverage existing knowledge from senior strategists, trading commentary, news flow and GEN AI to produce actionable ideas that can drive research content. These strategies should reflect considerations of market conditions, macroeconomics and risk-to-reward assessment with clearly articulated rationale.
- Market Monitoring: Track key data releases, policy developments (central banks, geopolitics), and market-moving events. Distil the information into impact on the different asset classes
- Model Building / Maintenance: Help build and maintain analytical tools and dashboards (e.g., valuation screens, cross-asset indicators, risk monitors) to support strategy formulation
- Engage with key stakeholders: These stakeholder span GFM (Global Financial Markets) as well CBG (Consumer Banking Group). After a view has been published, there should be engagements across sales (institution, corporate and wealth management), products, trading as well any other stakeholders that require the content.
- Prepare presentation materials: Prepare house view slide decks and supporting materials for internal and external stakeholder meetings
Qualifications
- Bachelor's degree in Economics, Finance, Mathematics, or a related field; Master's preferred
- 13 years of experience in financial markets, ideally in research, strategy, trading assistant, or macro-related roles
- Solid understanding of global macroeconomics and key asset classes
- Proficiency in Excel and PowerPoint; working knowledge of Bloomberg and other market data platforms
- Programming skills (Python, VBA) are a plus
- Strong writing and communication skills; ability to distil complex market themes into clear messages
- High attention to detail, intellectual curiosity, and ability to work under pressure in a fast-paced environment
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Primary Location
Singapore-DBS Asia Central
Job
Research
Schedule
Regular
Job Type
Full-time
Job Posting
Oct 15, 2025, 10:45:46 AM