Desk Strategist
Location: London
VP / Director Level
A great opportunity to work directly with the Head of Global Markets Trading Strategies at a leading Tier 1 Investment Bank.
We are seeking a candidate with a strong markets background, research, and analytical abilities, who excels in content production and enjoys direct engagement with key stakeholders.
Key Role Highlights:
* Content Leadership : Produce high-quality macro and strategy content at CIO/CRO level, market intelligence reports, and actionable trading insights.
* Cross-asset expertise : Contribute across multiple asset classes.
* Thought Leadership : Drive investigative research on market themes and trends.
* Stakeholder Engagement : Regular exposure to senior stakeholders and proximity to senior management within the bank.
This role will be integral in developing cutting-edge cross-asset strategies, while shaping the trading and risk management practices of the firm. If you’re a visionary strategist with multi-asset expertise, this is an opportunity to take on a highly influential role in the world of global markets.
Key Responsibilities:
* Analyze complex datasets to identify macro trends, risks, and market opportunities, providing timely insights to senior stakeholders and trading desks.
* Collaborate with quant teams, portfolio managers, and traders to refine and execute high-impact investment strategies .
* Create and present in-depth reports and trading ideas for C-suite executives (CIO, CRO) and senior management, influencing critical investment decisions.
* Evaluate and stress-test trading models, ensuring they align with risk tolerance and regulatory standards.
* Work with risk management teams to assess the impact of geopolitical, macroeconomic, and sector-specific risks on trading strategies.
* Lead efforts to optimize trade execution and enhance portfolio performance through data-driven analytics .
Qualifications:
* 5+ years of experience as a Desk Strategist within a top-tier investment bank, with exposure to multiple asset classes (min two - more is preferred).
* Deep understanding of macroeconomic trends, market risk factors, and geopolitical developments that influence global financial markets.
* Expertise in risk management and derivatives (options, futures, swaps) as part of multi-asset strategy development.
* Strong command of statistical tools, programming languages (Python, R, or VBA), and experience with Bloomberg, Excel, and other trading platforms .
* Exceptional communication skills to articulate complex strategies and market outlooks to senior leadership and institutional clients .
* Ability to work in a fast-paced, high-stakes environment, with excellent decision-making and problem-solving capabilities.
If you’re ready for this next step in your career, apply to this advert or contact tg@barclaysimpson.com for a confidential discussion.