Macro Investment Manager, Fx & Interest Rates - 50077888
Posted 17 days ago · 0 applicants
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The role in plain words
- Bachelor's degree in Economics, Finance, Business Administration or a relevant field
- Previous experience in managing macro investments, interest rates and foreign exchange and/or in-depth understanding of global capital markets, interest rates, bonds, foreign exchange and derivatives
- Experience working with financial derivatives and hedging instruments
Extracted from the job description · kept up to date automatically
Who this suits
Full job description
Original listing · kept for referenceThe Phoenix is one of Israel’s leading financial institutions, managing long-term savings, insurance, and investment portfolios across global markets.
Within our Investment Division, we operate a unique and highly specialized Global Macro Investment activity, focusing on sovereign bonds, interest rate derivatives, and FX exposures across international markets.
This is an opportunity to join a cutting-edge team that combines deep macroeconomic research with active portfolio management, operating in a domain that is still relatively niche in the Israeli market.
What you’ll do?
• Leading macro investment strategy and market economics
• Managing interest rate, foreign exchange and bond exposures in Israel and internationally
• Developing and implementing investment and hedging strategies using advanced financial instruments
• Performing macroeconomic analyses, building scenarios and assessing risks and opportunities
• Preparing investment recommendations and presenting them to investment committees and senior management.
• Working with brokers, banks, research bodies and professional bodies in Israel and abroad
• Collaborating with risk management, finance, actuarial and investment units
What are we looking for?
• Bachelor's degree in Economics, Finance, Business Administration or a relevant field
• Previous experience in managing macro investments, interest rates and foreign exchange and/or in-depth understanding of global capital markets, interest rates, bonds, foreign exchange and derivatives
• Experience working with financial derivatives and hedging instruments
What Makes This Role Unique?
• Exposure to global sovereign bond markets and interest rate derivatives
• Opportunity to actively manage country-level macro positioning
• Work alongside leading strategists, banks, and global financial institutions
• Direct impact on portfolio performance and investment strategy
Full-time, Sunday-Thursday, 9 hours per day, hybrid
Rishon LeZion, The 1000 complex, adjacent to Moshe Dayan Railway
Questions about this role
- This listing did not state a salary. We only show pay when the employer publishes it.
- Bachelor's degree in Economics, Finance, Business Administration or a relevant field, Previous experience in managing macro investments, interest rates and foreign exchange and/or in-depth understanding of global capital markets, interest rates, bonds, foreign exchange and derivatives, Experience working with financial derivatives and hedging instruments