Our client is an investment firm
Responsibilities:
1. Analyze macroeconomic data like GDP, inflation, and employment figures.
2. Create reports on macroeconomic trends for stakeholders.
3. Monitor market developments and policy changes affecting the economy.
4. Develop economic models and use coding to predict future conditions and assess risks.
* Master's degree in Mathematics or Statistics
* Minimum 3 years in macroeconomic research, financial analysis, or a related field
* Strong understanding of global economic indicators, financial markets, and commodity trading environments
* Proficiency in R, Python, and data visualization tools
* Native in Mandarin and fluent in English.
#LI-Hybrid
undefined