We are partnering with a leading global investment firm that is seeking a talented Global Macro Strategist who is eager to specialise in Developed Market Rates. This is a rare buy-side opportunity to sit at the heart of a world-class macro research and strategy team, working directly with portfolio managers and senior leadership to shape real-money investment decisions.
Role Overview
In this role, you will transition your global macro expertise into a dedicated focus on DM rates, building a deep understanding of policy drivers, yield curves, and cross-market dynamics. You will play a key part in generating trade ideas and providing market insight that drives performance across the firm’s global portfolios.
- Conduct rigorous macroeconomic and policy analysis across developed markets
- Build and refine frameworks for rate forecasting and scenario analysis
- Work closely with PMs to translate research into actionable strategies
- Stay ahead of market-moving developments and communicate insights quickly and clearly
- Contribute to thought leadership across the global macro platform
Candidate Profile
- 2–6 years’ experience in global macro strategy or research, with a strong interest in specialising in DM rates – particularly Europe, US, Japan, and the UK
- Prior buy-side experience (hedge fund, asset manager, or similar) is highly advantageous
- Deep intellectual curiosity about global policy, interest rate markets, and macro trends
- Excellent analytical skills and comfort with data-driven research
- Ability to communicate complex ideas succinctly and persuasively
- Collaborative mindset and ambition to grow into a lead strategist role over time
To apply, please send your CV to .