Research Analyst

SOUTHERN RIDGES CAPITAL PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

11 days ago
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Job summary

Southern Ridges Capital is a global macro hedge fund seeking a Research Analyst to work with the investment team, applying data-driven methods to support real-time investment decisions. The role is hands-on and learning-intensive, ideal for curious candidates passionate about financial markets.

You will gain mentorship, develop coding and data analysis skills, and contribute to the investment process in a collaborative, smaller team setting.

Qualifications

  • Master’s or PhD in Economics or related field is preferred
  • Quantitative background in Econometrics, Data Science, Statistics, or Mathematics is valued
  • Experience in macro research or financial-market research is a plus
  • Proficiency in Python and/or R
  • Familiarity with econometric concepts

Responsibilities

  • Develop and maintain macro models for GDP, inflation, current account dynamics, and monetary policy across G10 and EM economies
  • Monitor central bank communications to forecast policy trajectories
  • Track real-time data releases and assess deviations from consensus
  • Translate macro views into trade recommendations across rates, FX, and equities
  • Prepare daily/weekly market commentary synthesizing macro developments and positioning data
  • Monitor global capital flows, COT, and investor sentiment indicators
  • Build and maintain relationships with sell-side economists and macro researchers

Job description

Southern Ridges Capital

Southern Ridges Capital is a multi‑billion‑dollar global macro hedge fund with a track record of over seven years of delivering high risk adjusted returns through fixed income, currency, commodities and equities trading.

We believe in cultivating a strong, collaborative culture where people are empowered to learn, grow, and do their best work. We are committed to mentoring early-career professionals and giving them the tools, exposure, and guidance to succeed in a dynamic and intellectually challenging environment.

What You’ll Do

As a Research Analyst, you’ll work closely with our investment team to develop insights and tools that directly support real‑time investment decisions. This is a hands‑on, learning‑intensive role ideal for someone curious about financial markets and passionate about applying data‑driven methods to solve complex problems.

Your key responsibilities will include:

  • Develop and maintain proprietary macro models covering GDP, inflation, current account dynamics, and monetary policy across G10 and EM economies
  • Monitor and synthesize central bank communications (Fed, ECB, BOJ, RBI, BOK, PBoC) to forecast policy trajectories and rate differentials
  • Track real‑time economic data releases with a focus on deviations from consensus and second‑order market implications
  • Translate macro views into specific trade recommendations across rates, FX, equities
  • Prepare daily/weekly market commentary synthesizing macro developments, central bank signaling, and positioning data
  • Monitor global capital flows, speculative positioning (COT, prime brokerage data), and investor sentiment indicators
  • Build and maintain relationships with sell‑side economists, central bank watchers, and independent macro researchers
What You’ll Gain
  • Hands‑on Experience: Exposure to live trading environments and real‑world investment problems from day one
  • Mentorship & Learning: Work closely with seasoned professionals who will support your growth through feedback and collaboration
  • Professional Development: Build skills in coding, data analysis, and financial market research
  • Impact: See your work contribute directly to the investment process and help drive results'
Who We’re Looking For
Technical Skills
  • Master’s degree or PhD in Economics or a related field.
  • Exceptional candidates with a bachelor’s degree in a quantitative field such as Econometrics, Data Science, Statistics, Mathematics, Physics, Engineering, Operational research will also be considered.
  • Relevant experience in macroeconomic research, economic strategy, policy analysis, or financial‑market research is preferred.
  • Proficient in Python and/or R
  • Familiarity with statistical and econometric concepts
Helpful Experience
  • Exposure to macroeconomic or financial data tools like Bloomberg, CEIC, Haver, or Macrobond
  • Interest in financial markets and macroeconomic trends
  • Understanding of options, derivatives, or econometrics
Soft Skills
  • A curious, analytical mindset and eagerness to learn
  • Strong attention to detail and problem‑solving skills
  • Clear communication and willingness to ask questions
  • A team player who thrives in a collaborative and respectful environment
Why Join Us

At Southern Ridges Capital, you will work closely with the investment team, and you will have the opportunity to contribute to real investment decisions and view your impact. You will gain a wider experience and better understanding of the investment world working in a smaller and more collaborative setup like ours.

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