## What You Will Do
Monitor markets and inform trading desks about the potential impact of company news flow, (geo)political developments and broader market trends
Develop an informed opinion to explain observed market movements, project theoretical opening values of products traded while keeping Traders informed of these changes and their effects
Use systems and alerts to receive and analyse opportunities
Gather research for back testing purposes and report on results to relevant desks
Initiate and manage projects to broaden and deepen the level of coverage prepared by the Macro Strategy team
Report to Head of Trading and Amsterdam Headquarters on daily events including but not limited to spread movements and corporate actions
## What You Need to Succeed
Degree in Economics, Finance or a related quantitative background in Math, Physics and/or Econometrics.
Minimum 2 years of experience as an analyst in the financial industry
Interest in and thorough knowledge of financial instruments (all asset classes, with particular emphasis on Equities, FX, Rates, Commodities and the related derivatives) and macroeconomics
Experience in Asia-Pacific Equities, Index Methodology, or Commodities Futures are a plus
Excellent analytical skills with strong attention to detail
Well-versed in Excel and Bloomberg Terminal, experience with Data Analysis (in Python) is a plus.
Naturally curious, research oriented, creative and able to see interconnections with ease
Ability to make independent and informed decisions while being aware of the team around you
Possess the ability to multitask and deliver under pressure
Excellent communication skills (daily presentations, contact with trading desks and written analyses)
Apply Now
Apply Now