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Director Cross-Asset Macro Strategist UBS London


Job description
The role entails the analysis of current market trends and the forecasting of key macro variables, as part of an integrated team of global Macro Strategists. These views must be presented in written form, public and private meetings, and (where appropriate) to the media. Strong economic intuition, good quantitative skills, solid writing skills and a capacity to effectively communicate views and ideas are required.



The main task of the macro cross-asset team is to analyse global macroeconomic developments and identify trends in foreign exchange and government bond markets in a timely fashion. The key recipients of the research output of the team include institutional investors such as hedge funds and asset managers.

Key Responsibilities Include But Are Not Limited To

Broad macro oversight of a large set of global economies from a macro level
Analyse macro and market trends and provide views and commentary on relevant developments
Participate in the production of frameworks and forecasts across key asset classes
Provide thought leadership in thematic research

Requirements

Strong macroeconomic foundations
PhD or at the very least an MSc degree in Economics and/or Finance or a related field
Experience of 3-5 years in macroeconomic and markets analysis
Experience in G10 fixed income markets is preferred (but other areas of specialization will also be considered - from FX, to Economics to Commodities, to EM).
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