
Description:
Location: Hyderabad / Gurugram / Bengaluru
Experience: 3-8 years
Industry: Global Macro & Credit Research
This is an opportunity to work at the intersection of emerging markets research, sovereign credit, global macro economics, and investment strategy.
Good to have-:
- Expertise in hard-currency & local-currency EM bonds, FX, interest rates.
- Understanding of public debt structures, capital flows, macro frameworks.
- Strong interest in geopolitics, EM economics, and global macro themes.
Why This Role Stands Out-:
- Work in a global, intellectually rigorous investment environment.
- Exposure to front office and cross-asset collaboration.
- Solve complex sovereign & macro puzzles with real impact on investment decisions.
- Compensation, learning ecosystem, and career progression are among the best in the industry.
Must-have-:
- Bachelors degree in a quantitative discipline.
- 2-8 years experience in sovereign / EM research, macro research, or fixed-income strategy.
- Strong quantitative modeling and financial analysis skills.
- Experience with fixed-income pricing, especially credit.
- Proficiency in Python/R/Matlab/other programming tools.
- Strong communication skills (written + verbal).
- Ability to work in a fast-paced, high-accountability environment.
For professionals seeking a truly global platform with exceptional compensation and steep learning curves, this role offers unmatched exposure.
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