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Head of Cross-Asset Macro Strategy

2 months ago


London, Greater London, United Kingdom Octavius Finance Full time

Position Overview:

Octavius Finance is seeking a distinguished Senior Cross Asset Macro Investment Strategist to enhance our investment team. This pivotal role is essential for shaping our multi-asset investment strategies by utilizing profound macroeconomic insights and quantitative methodologies. The successful candidate will possess extensive experience in crafting and executing multi-asset strategies, directly contributing to a solutions-driven investment environment.

Core Responsibilities:

  • Macro Strategy Formulation:
  • Design and refine a proprietary top-down global macroeconomic framework to pinpoint significant market trends and turning points.
  • Develop and optimize internal valuation models for various asset classes, including rates and currencies, to uncover pricing inefficiencies and guide strategic investment choices.
  • Investment Insight Generation:
  • Devise and articulate innovative macro trade concepts and strategic asset allocation proposals for our multi-asset portfolios, encompassing absolute return and global macro funds.
  • Deliver actionable investment insights grounded in comprehensive macroeconomic and financial market evaluations.
  • Research & Evaluation:
  • Conduct in-depth research on macroeconomic and financial developments to bolster our multi-asset strategies, which include equities, fixed income, commodities, and currencies.
  • Establish and maintain quantitative models and analytical tools to assess a wide array of asset classes and inform investment decision-making.
  • Generate detailed reports and presentations, effectively communicating complex ideas and strategic recommendations to portfolio managers and other key stakeholders.
  • Team Collaboration & Communication:
  • Partner closely with portfolio managers to execute tactical asset allocations and manage long/short exposures across our multi-asset portfolios.
  • Collaborate with the Head of Research and team members to outline and prioritize the research agenda, ensuring alignment with market dynamics and client requirements.
  • Engage with clients to understand their needs, ensuring that our research and strategies are client-focused and forward-thinking.

Qualifications:

  • Educational Credentials:
  • A degree in Finance, Economics, or a related discipline. Advanced degrees (e.g., MSc, PhD) or professional certifications (CFA, CAIA) are highly preferred.
  • Professional Experience:
  • 8-15 years of experience specifically within a multi-asset investment strategy or solutions team, with a proven history of developing and executing multi-asset strategies and delivering macroeconomic insights.
  • Significant experience in creating and applying quantitative models for multi-asset analysis and investment decision-making.
  • Skills & Competencies:
  • Outstanding analytical and quantitative capabilities, with a comprehensive understanding of global macroeconomics and financial markets.
  • Excellent communication skills, both written and verbal, with the ability to convey complex information clearly and effectively to diverse audiences.
  • Proficiency in financial modeling, quantitative analysis tools, and relevant software applications.
  • Personal Attributes:
  • A proactive and innovative approach, with a commitment to staying ahead of market trends and continuously enhancing research methodologies.
  • Strong interpersonal and collaborative abilities, with a capacity to work effectively within a team and foster robust relationships with clients and stakeholders.