Global Macro Cross Asset Investment Strategist
Miami, FL, United States
Full Time USD 190K - 270K
StoneX Group Inc.
Overview
Connecting clients to markets – and talent to opportunity
With 4,300 employees and over 400,000 retail and institutional clients from more than 80 offices spread across five continents, we’re a Fortune-100, Nasdaq-listed provider, connecting clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.
At StoneX, we offer you the opportunity to be part of an institutional-grade financial services network that connects companies, organizations, and investors to the global markets ecosystem. As a team member, you'll benefit from our unique blend of digital platforms, comprehensive clearing and execution services, personalized high-touch support, and deep industry expertise. Elevate your career with us and make a significant impact in the world of global finance.
Immerse yourself in the best-in-class institutional-grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology.
Institutional:
Immerse yourself in the best-in-class institutional-grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology.
Responsibilities
About the role
We are seeking a highly motivated Cross-Asset Macro Strategist to join our fast-paced and dynamic team. This is a sell-side research role designed to support the Chief Market Strategist (CMS) in delivering cutting-edge research and actionable investment strategy across multiple asset classes. You will work on high-impact projects with significant opportunities for growth and development while gaining exposure to institutional clients.
The ideal candidate is a proactive team player with strong expertise in macroeconomics, investment strategy, and cross-asset analysis, paired with exceptional technical and interpersonal skills.
Key Responsibilities:
Economics & Macro Analysis:
- Conduct forecasting, modeling, and regression analyses on macroeconomic trends, with a focus on the U.S. and comparisons between developed and emerging markets.
- Build, automate, and enhance economic models to increase efficiency and drive insights.
- Formulate and present clear and actionable forward-looking and differentiated macroeconomic views.
Investment Strategy:
- Provide cross-asset insights across equity indexes, fixed income, FX, and rates.
- Analyze asset allocation opportunities, market divergences, and risks.
- Contribute within specific asset classes:
- Equities: Analyze regions, sectors, and factors (no stock picking).
- Fixed Income: Evaluate relative value and spreads across IG, HY, Rates, EM. Recommend positioning based on macroeconomic factors.
- FX: Build and maintain fair-value and driver models for major currencies (USD, EUR, JPY, EM).
Production & Deliverables:
- Maintain and improve existing Excel models and databases; convert them to Python if possible.
- Create new analyses, visualizations, and models for CMS review.
- Write polished and concise conclusions to support investment strategy recommendations.
- Develop institutional slide decks for roadshows and client presentations.
- Spearhead readership metrics and integrate Salesforce/Market Intelligence tools.
- Respond to ad hoc research requests and client queries.
Digital Engagement:
- Publish real-time Bloomberg posts analyzing key economic releases.
- Contribute to team visibility by managing CMS social media updates (e.g., X).
Collaboration & Growth:
- Embrace a support role with a clear path for upward mobility.
- Take direction and feedback willingly while proactively contributing ideas.
- Communicate effectively within a small, collaborative team.
Qualifications
To land this role you will need:
Qualifications:
Education & Certifications:
- Master’s degree in Economics, Financial Economics preferred, or Financial Engineering, Data Science, with a strong foundation in economics.
- CFA designation (preferred).
Skills & Experience:
- Strong coding ability (Python preferred).
- Knowledge of AI and automation tools to enhance team efficiency.
- Experience building and automating economic and financial models.
- Proven ability to write professional, sell-side-level research.
- Ability to distill large datasets into actionable insights and polished deliverables and come up with clear and well-articulated conclusions.
Preferred Background:
- Strong preference for candidates with a sell-side research background.
- This role is not suited for individuals whose experience aligns primarily with the buy-side.
Personal Qualities:
- Demonstrates integrity, honesty, and loyalty in all interactions.
- Maintains a positive attitude, enthusiasm, and a proactive approach to work.
- Embraces the importance of a support role, contributing meaningfully to team success.
- Communicates effectively, including the ability to disagree constructively and respectfully, while being willing to align with, support, and promote the house view when it differs from own view.
- Approachable, collaborative, and fosters strong working relationships.
- Strong interpersonal skills, with the ability to articulate ideas clearly and professionally
Why Join Us?
This role offers the opportunity to work closely with the Chief Market Strategist, gaining exposure to institutional clients, advanced cross-asset analysis, and high-impact projects. With significant potential for growth, this position is ideal for candidates eager to develop their expertise while contributing meaningfully to a high-performing team.
Location Requirements:
This is a full-time, in-office role based in Miami, FL (preferred) or New York, NY.
Total Compensation: $190,000-$270,000 (Compensation to be determined by the company comparable salary structure, education, experience, knowledge, skills and abilities of the applicant, internal equity and alignment with market data.) Subject to business performance and recommendations of management, this role may be eligible to participate in an incentive compensation plan. This compensation package, in addition to a full range of medical, financial, and/or other benefits, dependent on the position, is offered.
Permanent, full-time, onsite, #LI-SD1
Tags: Economics Engineering Excel Finance Python Research Salesforce
Perks/benefits: Career development Equity / stock options Startup environment
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