Role Overview:
You will work directly with a Portfolio Manager to generate alpha-driven ideas for our Asia-focused global macro strategy.
The role is based in our Singapore office and requires deep expertise in Asian fixed income and currency markets, with a focus in Asia EM Markets.
Key Responsibilities:
- Develop and pitch high-conviction macro trade ideas (Rates, FX) for the Asia-Pacific region.
- Conduct deep fundamental analysis of Asian economies, central bank policies, and political risk.
- Build and maintain economic and financial models to support investment theses.
- Monitor real-time macroeconomic data and geopolitical events across Asia.
- Clearly communicate research and market views to the investment team.
Qualifications:
- 8-10 years of direct experience in macro strategy, economics, or fixed income/FX research.
- Proven track record analyzing Asian markets; expertise in Asia EM, specifically research expertise in India and Southeast Asia markets is highly desirable.
- Master's degree in Economics, Finance, or a related field.
CFA is a plus.
- Strong quantitative and financial modeling skills.
- Excellent communication skills and ability to thrive in a collaborative, fast-paced environment.