Our client, a global fixed-income hedge fund, are hiring a Macro Analyst to support fixed income macro and relative value strategies across global rates, inflation, and volatility markets. The role sits within a collaborative trading platform combining systematic research with discretionary macro insight.
Responsibilities:
* Analyze macroeconomic and fixed income markets
* Research and support macro and relative value trade ideas
* Assist with portfolio construction, risk monitoring, and trade execution
* Build and maintain quantitative and analytical tools
Requirements:
* A degree in quantitative finance, maths, engineering or a related discipline
* Strong quantitative or analytical background- buy-side preferred, but sell-side experience will be considered
* Exposure to rates, inflation, and/or volatility products
* Comfortable working with data and contributing investment views
* Strong Programming skills (e.g. Python)
Due to demand, we are advertising this role anonymously. If you would prefer to speak to someone before submitting a CV, please send a blank application to the role and someone will be in touch to discuss. We can only respond to highly qualified candidates.