Key Responsibilities
- Support the analysis of macroeconomic trends, geopolitical risks, and industry developments to identify investment opportunities.
- Monitor and communicate the impact of economic and political developments on financial markets.
- Assist in the development and interpretation of proprietary market indicators used by internal stakeholders and external clients.
- Collaborate with portfolio managers to support asset-allocation decisions, build basic financial models, and evaluate investment theses.
- Assist to conduct research reports, commentaries, and presentation materials for internal teams.
- Work closely with global strategists and researchers based in other regions.
Requirements
- Bachelor’s degree (Master’s or postgraduate degree strongly preferred) in Economics, Finance, International Relations, or a related field.
- Minimum 3 years of relevant experience in financial markets, research, or economic analysis
- Solid understanding of macroeconomic concepts, FX markets, and emerging-market dynamics.
- Strong quantitative skills, including proficiency in Excel and basic econometric/statistical tools (experience with Bloomberg, Reuters, or similar platforms is a plus).
- Excellent written and verbal communication skills with the ability to explain complex economic concepts in a clear, concise manner for both internal and client audiences.
- Strong attention to detail and ability to produce high-quality research materials under time pressure.
If you have the relevant skills and believe you are a suitable candidate, please send your CV to info@pinesearch.co and our team will contact you for a confidential discussion. We regret that only shortlisted candidates will be contacted.