Checking job availability...
Original
Simplified
- Supportive team culture and work life balance
- Exposure in client engagement and media interviews
- Provide continuous job training
- Provide regular economic, political risk and financial market analysis
- Act as analytical lead for a portfolio of major economies, taking full ownership of all forecasts and historical data
- Write research notes on a daily basis, as well as contributing to monthly and quarterly analysis, producing both country-specific and thematic regional research including: economic growth, fiscal & monetary policy, trade, debt dynamics, political risk, financial markets and demographics
- Work on maintaining and further developing proprietary data sets that add analytical value
- Work with sales to represent the team and deliver key views and forecasts in a concise and articulate manner during client engagements as well as at industry events. Be a brand ambassador for our research and company
- Be commercially minded and understand how research and data is used by our clients.
- Mentor and guide junior analysts on the team through training, editing and discussion of forecasts and views
- BA/MA/MSc/PhD in economics or a closely related field
- Relevant background working as a macroeconomic/sovereign risk analyst required, with experience in analysis, data management and forecasting
- Ability to manage own time and adhere to publication deadlines
- Strong writing skills, with experience conveying complex views in a succinct and straightforward manner
- Ability to work with and analyze large data sets and forecast across key macroeconomic indicators
- Familiarity analysing connections between political and macroeconomic risk
- Fluent spoken and written English
- Strong team-working and communication skills, but also able to work independently
- Relevant experience in economic analysis, ideally with a focus on Asia, but we would consider a strong candidate who has been focused on a different region
- Strong public speaker
- Fluent in other Asian language
- Supportive team culture and work life balance
- Exposure in client engagement and media interviews
- Provide continuous job training
- Provide regular economic, political risk and financial market analysis
- Act as analytical lead for a portfolio of major economies, taking full ownership of all forecasts and historical data
- Write research notes on a daily basis, as well as contributing to monthly and quarterly analysis, producing both country-specific and thematic regional research including: economic growth, fiscal & monetary policy, trade, debt dynamics, political risk, financial markets and demographics
- Work on maintaining and further developing proprietary data sets that add analytical value
- Work with sales to represent the team and deliver key views and forecasts in a concise and articulate manner during client engagements as well as at industry events. Be a brand ambassador for our research and company
- Be commercially minded and understand how research and data is used by our clients.
- Mentor and guide junior analysts on the team through training, editing and discussion of forecasts and views
- BA/MA/MSc/PhD in economics or a closely related field
- Relevant background working as a macroeconomic/sovereign risk analyst required, with experience in analysis, data management and forecasting
- Ability to manage own time and adhere to publication deadlines
- Strong writing skills, with experience conveying complex views in a succinct and straightforward manner
- Ability to work with and analyze large data sets and forecast across key macroeconomic indicators
- Familiarity analysing connections between political and macroeconomic risk
- Fluent spoken and written English
- Strong team-working and communication skills, but also able to work independently
- Relevant experience in economic analysis, ideally with a focus on Asia, but we would consider a strong candidate who has been focused on a different region
- Strong public speaker
- Fluent in other Asian language