About the job
About Caxton Associates:
Founded in 1983, Caxton Associates is a prestigious global trading and investment firm with a strong presence across key financial hubs including New York, London, Bengaluru, Monaco, Singapore, and Dubai. Our core mission is to effectively manage both client and proprietary capital through a comprehensive array of investment products tailored to meet the unique requirements of our investors. With a multi-portfolio manager framework, Caxton is recognized for its excellence in discretionary global macro investing, drawing on a wealth of diversified expertise across various asset classes and markets.
Responsibilities:
- Collaborate closely with the Portfolio Manager to oversee the daily management of the Global Macro portfolio, with a primary focus on Rates and FX.
- Assist in the development of analytical tools for trade screening and idea generation, utilizing Excel and Python.
- Originate and implement trade ideas across a range of products, including Interest Rates and FX, both linear and options.
- Stay updated on macroeconomic developments and their implications for the market.

