Economist/Macroeconomics, Asset Management, London
Our client, a global asset manager, is looking for an experienced macro-economist to join their team in London. The role will focus on Eurozone economies and markets, combining deep analytical expertise with practical investment applications, working closely with the portfolio management teams to drive investment decisions across asset classes.
Responsibilities:
* Develop and maintain comprehensive economic forecasts for the Eurozone region and G4, including detailed country-level analysis and policy implications, including the European Central Bank (ECB).
* Lead research on monetary policy developments, with particular focus on the ECB decisions and their market impact.
* Create proprietary economic indicators and quantitative frameworks to support investment decision-making.
* Present economic insights and investment recommendations to portfolio managers and broader investment teams.
* Contribute to global research publications and participate in cross-asset investment committee meetings.
* Generate thought leadership content including white papers and thematic research pieces.
Requirements:
* Degree in Economics or related field.
* Experience in economic research within financial markets.
* Expert knowledge of European economies, institutions, and policy frameworks.
* Strong quantitative skills with the ability to develop and maintain economic models.
* Excellent communication skills, with proven ability to translate complex economic concepts into actionable investment insights.
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