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Barclays is seeking a Senior G10 FX/Macro Strategist, to join our dynamic team. In this high-impact role, you will serve as the sole G10 FX strategist based in our NYC office, working in close collaboration with your counterparts in the UK. You will be responsible for monitoring and reviewing global macroeconomic developments, central bank policies, and geopolitical events, and translating these insights into actionable FX strategies. A key part of your day-to-day will involve engaging with internal stakeholders including sales teams and traders to share your views on how macro trends are influencing G10 currency markets. You will also work closely with the manager overseeing the G10 FX space to ensure strategic alignment and contribute to the broader macro strategy framework. This role offers a unique opportunity to shape Barclays’ FX outlook from a global perspective while maintaining an ample local presence in one of the world’s financial capitals.
Job Responsibility:
Monitoring and reviewing global macroeconomic developments, central bank policies, and geopolitical events, and translating these insights into actionable FX strategies
Engaging with internal stakeholders including sales teams and traders to share views on how macro trends are influencing G10 currency markets
Working closely with the manager overseeing the G10 FX space to ensure strategic alignment and contribute to the broader macro strategy framework
Analysis of market, sector, corporate and/or economic data to help develop investment theses
Presentation of Research views to Barclays Clients
Engagement with Markets, Client Strategy and other stakeholders
Provision of insights and Research views to internal Clients
Collaboration with the Supervisory Analyst, Compliance and other stakeholders to ensure Research is produced and delivered in a compliant manner
Requirements:
An advanced degree in Economics or Finance
Macro strategy, FX research, or central banking policy assessment and generating profitable FX trade ideas
Advanced econometric and statistical modeling (Excel, Python, Bloomberg)
FX derivatives, interest rate analytics, and sovereign fundamentals
Writing and publishing research
Nice to have:
Excellent communication and presentation abilities
Strategic thinking, adaptability, and a collaborative mindset
Ability to work self-sufficiently
Proficiency in producing high-quality research notes, market commentary, and strategy reports