Global Macro Rates Strategist/Associate PM – London
We’re exclusively partnered with a leading global investment firm seeking a Global Macro Strategist with a focus on Developed Markets Rates to join their centralised Research & Strategy function in London. This is a high-profile role working at the centre of global macro investing, designed for someone with strong strategic insight who has ideally taken risk in a sub-PM capacity.
The position offers a clear pathway into the portfolio management team, with the opportunity to transition into a direct risk-taking role over time.
The Opportunity
Deliver in-depth macro and rates research across developed markets, focusing on interest rate strategy and policy dynamics.
Partner closely with portfolio managers to translate your views into actionable investment strategies.
Contribute to the firm’s global investment debates, shaping top-down positioning and trade ideas.
Build structured frameworks for monitoring markets, stress-testing scenarios, and generating insights that inform portfolio construction.
Collaborate with PMs and senior strategists across the platform to ensure your work directly impacts investment decisions.
What We’re Looking For
3–8 years’ buy-side experience in macro strategy, research, or trading, with a focus on developed markets rates.
Ideally some exposure to risk-taking or sub-PM responsibilities within a buy-side setting.
Strong macroeconomic and policy analysis skills, with the ability to generate investment-relevant insights.
Clear communicator who can distill complex views into actionable recommendations.
Ambition to progress into a portfolio management role and take risk within a world-class investment platform.
To apply, please send your CV to research@octaviusfinance.com