Global Investment Research Division - Latam Corporate/Sovereign Credit Strategist - EM Strategy Team, Associate/Vice President - New York

Location(s) US-NY-New York
Job ID
Schedule Type
Full Time
Global Investment Research
Business Unit
Global Macro Research
Employment Type


Global Investment Research

Global Investment Research (GIR) produces original, fundamental research and analysis of industries, companies and economies. Our research teams continually identify and analyze financial information, strategic issues and trends that affect companies, industries and markets on a regional and global scale. Our clients use these insights and investment ideas to develop their strategies. 


Our Team

The Global Markets Research team focuses on the intersection between economics and financial markets across a wide class of assets including equities, rates, FX, credit, mortgages and commodities. The Global Interest Rates, FX & EM Strategy team analyzes the economic and political drivers of exchange rates, local interest rates, and hard currency credit, and provides investment advice to the firm’s institutional and corporate clients.


Summary of Responsibilities

We are seeking an experienced NY-based associate to join Emerging Markets Strategy team to focus on Latam credit strategy.


Key responsibilities include:

  • Publishing timely and innovative thematic empirical research on the hard currency bond markets in the Latin American region, including corporates and quasi-sovereigns
  • Presenting Latam credit views and broader market views to a wide range of senior clients, both internal and external
  • Collaborating with the broader EM and Credit Strategy teams as well as our Latin America economists
  • Supporting internal stakeholders in institutional client services (sales and trading) and across the firm


Preferred Qualifications & Skillset

  • At least 5 years of experience working in macroeconomic and/or markets research, ideally with direct experience developing and communicating investment ideas
  • Ideal candidate would have background analyzing corporate credit / bond markets and/or emerging markets economies
  • Masters or PhD in macroeconomics, asset pricing, corporate finance or closely related fields
  • Excellent English language verbal and written communication skills; other language skills a plus
  • Strong quantitative skills and fluency in applied statistics and econometrics
  • Exceptional analytical skills, lateral thinking and judgement
  • Deep curiosity, and a passion for the intersection between macroeconomics and markets
  • Desire to work in team-centric environment



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