Fixed Income Strategist recruitment
Education: A degree in Economy/Finance
Key responsibilities:
- Providing research on Russian money market;
- Performing sovereign bond market analysis – Russia and CIS;
- Generating trade ideas in fixed-income instruments;
- Outlining debt market strategy;
- Providing analytical support to sales force, clients;
- Contributing to daily analytical products, keeping abreast of market-related news flow
- Regular interaction with bond issuers, monetary authorities, regulators.
Key requirements:
- Deep knowledge and understanding of economics, indicators, etc.;
- Understanding of key drivers of the money market, interest rates and rate derivatives;
- Fluent English, oral and written;
- Strong text-writing skills;
- Advanced PC user, knowledge of Microsoft Office bundle;
- At least 2 years’ relevant work experience (treasuries, research departments, state regulators).
Additional requirements:
- Proven analytical skills;
- Experienced Reuters and/or Bloomberg user;
- Knowledge of statistical/math/data processing applications is a plus;
- Proactive approach to work, creativity.
April 26, 2012
• Tags: Debt, Fixed Income careers in the Russia, Fixed Income Strategist recruitment • Posted in: Financial