Senior Eurozone Economist- Asset Manager- London
We are currently working with a London based asset manager who are currently looking to add a senior Eurozone economist to their team. The team is very well established and well respected, and they work in close proximity to the PMs and are instrumental to the investment process.
The role:
Conduct research/ forecasts for the Eurozone region
Collaborate internally with the economists/ strategists in the team
Collaborate effectively with the Multi-Asset PMs and wider investment team
Requirements:
7-10 years’ experience (maximum) as an economist covering the Eurozone predominantly
Ideally buy side experience working with PMs and risk takers
Could consider someone with sell side experience with Hedge Fund client coverage
If this role sounds applicable to your background, and you would be interested in discussing further, please apply by sending your CV in WORD format to economics@octaviusfinance.com