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:
1. Analyzing and interpreting large amounts of data related to asset markets including equities, economic and political events
2. Presenting data and conclusions in a clean and efficient manner
3. Collaborating with macro and single-stock groups within research
4. Communicating with the Equitiesand FICC sales force/traders and external clients
Basic Qualifications
5. Bachelor’sor Master’s degree, preferably majors in Math/ Stats/ Economics, Finance or Accounting
6. Must have some industry/finance experience, analyzing, creating and marketing investment ideas
7. Understanding of statistical analysis; knowledge and experience with Python is preferred.
8. Proficiency in the use of external databases including Bloomberg, Reuters, CEIC, DataStream, FactSet, Haver is a plus
9. Excellent in written and spoken English
Preferred Qualifications
10. Inquisitive, enthusiastic researcher/model builder with a few years of experience in European markets
11. Strong interpersonal and communication (written and verbal) skills and ability to interact with global stakeholders
12. Flexible and work well under pressure
13. Good organizational/multi-tasking skills and focus on meeting deadlines
14. 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