Cross Asset Macro strategist – London

. You will be focussed primarily on fixed income and credit markets.  The ideal candidate will be a strategist however candidates with money management experience also will be at a distinct advantage.

The ideal candidate good macro understanding in addition to quantitative skills.

Key Responsibilities: 

Implementing a discretionary macro strategy

Building quantitative top down investment strategies.

Trading multiple asset classes.

Running a trading book around macro research and strategy views.

This is an excellent opportunity for an individual keen to gather buy side exposure. The fund has an established 2 year track record and demands an individual keen to establish a presence in Macro portfolio management.
 

Experience in G10 and Emerging markets is preferred although not essential.
 

The level of the hire is flexible however demands an individual with the maturity to develop and implement their own ideas.

 

Please apply directly to apply.a33hoj54ks@selbyjennings.aptrack.co.uk

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