LATAM Fixed Income Strategist – Leading Buy-Side Firm, London
A prestigious buy-side firm in London is expanding its global macro team and is seeking a high-calibre professional with 8-10 years of experience in LATAM fixed income strategy, macroeconomic research, and market analysis.
Key Responsibilities:
Develop high-conviction trade ideas across LATAM fixed income markets, including rates, sovereign credit, and local debt
Conduct in-depth macroeconomic and geopolitical analysis to inform investment strategies
Collaborate closely with portfolio managers and traders to provide actionable insights
Engage with policymakers, analysts, and industry experts to stay ahead of market-moving developments
Requirements:
8-10 years of experience in LATAM fixed income strategy (buy-side or sell-side)
Strong knowledge of macroeconomic drivers, central bank policies, and local market dynamics
Proven ability to generate investment ideas with a track record of influencing portfolio decisions
Excellent communication skills, with the ability to articulate complex themes to senior stakeholders
This is a unique opportunity to join a world-class investment team and play a pivotal role in shaping their LATAM strategy. If this role aligns with your motivations and experience, please apply by submitting your CV in WORD format to economics@octaviusfinance.com