Global Macro FX & Rates Analyst

Caxton Associates

Singapore

On-site

SGD 180,000 - 260,000

Full time

14 days+

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Job summary

Caxton Associates is seeking a skilled professional to support the Global Macro portfolio, focusing on Rates and FX. You will collaborate with the Portfolio Manager to build analytical tools for screening and idea generation, and you will generate and execute trade ideas across products including rates and FX derivatives.

Ideal candidates have 4–7 years of experience across Sales, Trading, Quant, or Structuring, with strong Python/Excel modelling, clear communication, teamwork, and a rigorous

Qualifications

  • 4 - 7 years of relevant work experience across Sales, Trading, Quant, or Structuring with a focus on Rates and FX.
  • Graduate from a top-tier university, preferably in Engineering, Mathematics, Computer Science, Quantitative Finance, Economics, or related fields.
  • Solid experience in building analytical models using both Python and Excel.
  • A self-starter with strong communication and interpersonal skills.
  • Strong collaborative skills with the ability to work effectively in a team-oriented environment.
  • A keen eye for detail, curious mindset, and a willingness to challenge the status quo.
  • Displays and operates at the highest degree of ethics and integrity.

Responsibilities

  • You will work very closely with the Portfolio Manager on the day-to-day management of the Global Macro portfolio, primarily Rates and FX focused.
  • Help build analytical tools for trade screening and idea generation.
  • Generate and execute trade ideas across products (primarily Interest Rates and FX – linear and options).
  • Keep abreast of macro developments and the market implications.

Skills

Python
Excel
Communication
Teamwork
Attention to detail
Ethics
Self-starter

Education

Top-tier university degree (Engineering/Math/CS/Quant Finance/Economics or related)

Job description

Caxton Associates is seeking a skilled professional to support the Global Macro portfolio, focusing on Rates and FX. You will collaborate with the Portfolio Manager to build analytical tools for screening and idea generation, and you will generate and execute trade ideas across products including rates and FX derivatives.

Ideal candidates have 4–7 years of experience across Sales, Trading, Quant, or Structuring, with strong Python/Excel modelling, clear communication, teamwork, and a rigorous

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