A major sell side bank is looking for an experienced cross asset investment analyst to author timely research reports. The research will focus on how market events are impacting bonds, commodities, currencies and equity products.

 

Responsibilities:

  • Monitor currency, commodity, equity and fixed income markets as well as the broader macro investment-market environment to develop timely market outlook and investment ideas
  • Create original investment research and strategy across all asset sectors
  • Monitor daily market events globally and analyze how these events are impacting different asset classes
  • Work with the firm’s industry analysts on market themes
  • Work with multiple data bases to develop research ideas and articles
  • Perform complex financial analysis across many asset classes
  • Work closely with the firm’s sales force
  • Work closely with the firm’s clients

Requirements:

  • At least 5 years of macro market research with a bank or investment manager is required
  • Must have experience analyzing economic events, policies, and world affairs and their impact on global financial markets
  • Must have the ability to communicate views on global currency, commodity, equity and fixed income markets and generate tactical investment ideas
  • Must have experience performing complex financial analysis across bonds, commodities, currencies and stocks
  • Must have advanced database and statistical analytical skills
  • Must enjoy speaking with clients
  • Must be able to work in a trading room, time sensitive environment
  • Undergraduate degree in finance with a CFA or MBA is preferred

Keywords: Investment Strategist, Market Research, Cross Asset, Database, Writing

 

Please refer to Job #22633 - and send MS Word attached resume to jeg@analyticrecruiting.com