A leading alternative investment firm in London is seeking a Portfolio Analyst to join their Portfolio Management team. This role involves supporting global macro strategy trading across major asset classes, with an emphasis on rates, FX, and inflation. Candidates should possess 1-5 years of relevant experience and demonstrate familiarity with macro markets, particularly in financial modeling. The position demands strong analytical skills, proficiency in Python, Bloomberg, and Excel, and a self-starter attitude. The role requires commuting to the London office Monday through Friday. #J-18808-Ljbffr
Contact Detail:
Graham Capital Management, L.P. Recruiting Team