Job Responsibilities:
- Produce original research and investment ideas in fixed income markets, particularly developed markets outside the US
- Provide macroeconomic insights on international markets outside the US relevant to fixed income, equity, and currency markets
- Collaborate with equity, fixed income and multi-asset colleagues in a multi-asset investment context
- Collaborate with internal partners including client advisors, trade execution specialists and 3rdparty manager due diligence
Required Qualifications, Capabilities and Skills:
- Bachelor’s degree
- Strong research and/or portfolio management experience in global fixed income markets
- Deep understanding of risk management and multi-asset portfolio management
- Ability to thrive in a collaborative environment on a global team
- Strong analytical and communication skills
- Ability to successfully invest via ETFs and actively-managed funds as opposed to single-line bonds
Preferred Qualifications, Capabilities and Skills:
- Advanced degree and/or CFA charter holder preferred