Macro Analyst - Emerging Markets
SKILLS
FULL DESCRIPTION
Macro Analyst - Emerging Markets | Discretionary Macro Hedge Fund | London
London
Full-Time
36000 - 60000 £ / year (est.)
No home office possible
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At a Glance
Tasks: Analyse emerging markets and generate actionable trade ideas for a leading hedge fund.
Company: Top global macro hedge fund expanding its discretionary emerging markets team.
Benefits: Competitive salary, dynamic work environment, and exposure to portfolio management.
Why this job: Join a fast-paced team and make impactful decisions in the world of finance.
Qualifications: 2-5 years experience in macro analysis and a Master's degree in Economics or Finance.
Other info: Collaborate closely with Portfolio Managers and gain valuable insights into risk-taking.
The predicted salary is between 36000 - 60000 £ per year.
We are working with a leading global macro hedge fund that is expanding a discretionary emerging markets pod. The team is looking to hire a Macro Analyst with 2–5 years of experience and a strong academic background to work closely with Portfolio Managers, supporting idea generation, macro research, and trade development across emerging markets.
Role Overview
The Macro Analyst will sit directly within a discretionary portfolio management team and play a key role in forming and expressing macro views across emerging markets. The position offers close interaction with Portfolio Managers and meaningful exposure to the risk-taking and portfolio construction process. Regional coverage will span LATAM, CEEMEA, and Asia, with the precise focus shaped around the candidate’s background and the flexibility to expand coverage over time.
Key Responsibilities
Build and maintain robust macroeconomic frameworks for EM countries and regions
Conduct in-depth country-level and thematic analysis covering monetary, fiscal, and external dynamics
Track central bank policy, political developments, and geopolitical risks
Generate and clearly articulate actionable trade ideas across rates, FX, credit, and cross-asset strategies
Support PMs with scenario analysis, risk assessment, and ongoing monitoring of positions
Produce high-quality investment memos and contribute to regular PM discussions
Assist with portfolio construction through macro and risk input
Candidate Profile
2–5 years of experience in a macro analyst, EM economist, or strategist role
Strong academic background, with at least a Master’s degree in Economics, Finance or a related field
Solid understanding of emerging market macroeconomics and financial markets
Ability to translate macroeconomic analysis into market-relevant insights
Experience from hedge funds, asset managers, or banks preferred
Comfortable operating in a fast-paced, discretionary hedge fund environment
Strong written and verbal communication skills
If this role is of interest, please send your CV to [contact hidden].