We monitor and interpret developments in UK and European bond markets, including derivatives, responding quickly to breaking news and data releases to provide clear, actionable commentary
Job Summary
We monitor and interpret developments in UK and European bond markets, including derivatives, responding quickly to breaking news and data releases to provide clear, actionable commentary.
You will lead coverage of UK rates markets, contribute to broader European market analysis, and use your market contacts to uncover insights and stay ahead of key developments.
We value diverse backgrounds and experiences, foster a supportive, inclusive culture, and offer the opportunity to make an immediate impact and grow your profile in the industry.
Matching Summary
We monitor and interpret developments in UK and European bond markets, including derivatives, responding quickly to breaking news and data releases to provide clear, actionable commentary.
Skills & Requirements
Must-have
UK and European sovereign bond markets
real-time market commentary
fixed income and FX markets
institutional and dealer networks
intra-day commentary and analysis
Nice-to-have
collaborative group of strategists
diverse perspectives
high-impact market intelligence
supportive, inclusive culture
continuous learning
Key Requirements
At least 5 years’ experience in rates analysis
Well-established network within the institutional/dealer money-market space
Proven ability to write clearly and concisely under time pressure