Global Investment Research, Macro Research, Portfolio Strategy, Analyst - London Working closely with the Senior Portfolio Strategists and other members of the Europe Portfolio Strategy team and Asset Allocation Strategy team, the Analyst assist in: Analyzing and interpreting large amounts of data related to asset markets including equities, economic and political events Presenting data and conclusions in a clean and efficient manner Collaborating with macro and single-stock groups within research Communicating with the Equities and FICC sales force/traders and external clients Basic Qualifications Bachelor's or Master's degree, preferably majors in Math/ Stats/ Economics, Finance or Accounting Must have some industry/finance experience, analyzing, creating and marketing investment ideas Understanding of statistical analysis; knowledge and experience with Python is preferred. Proficiency in the use of external databases including Bloomberg, Reuters, CEIC, DataStream, FactSet, Haver is a plus Excellent in written and spoken English Preferred Qualifications Inquisitive, enthusiastic researcher/model builder with a few years of experience in European markets Strong interpersonal and communication (written and verbal) skills and ability to interact with global stakeholders Flexible and work well under pressure Good organizational/multi-tasking skills and focus on meeting deadlines Ability to work in a team-based environment, and adapt to a dynamic and changing organization Ability to coordinate and interact effectively with the team