Job Description
Job Description
Estimated Salary: Around $100,000 (may vary depending on experience)
Key Responsibilities:
- Conduct in-depth research and analysis of U.S. macroeconomic trends, financial
markets, and technology sectors; identify key developments, risks, and opportunities.
- Assist in developing strategies for fixed income, private credit, and other investment
portfolios; provide data-driven recommendations.
- Prepare detailed reports, presentations, and briefing materials for internal stakeholders
and HQ; summarize complex market information clearly.
- Track and analyze market data, indices, and economic indicators; identify patterns,
trends, and anomalies affecting investment decisions.
- Collaborate with portfolio managers, analysts, and other stakeholders to ensure
research findings are incorporated into investment strategies.
- Support other investment-related tasks and special projects as requested by the
investment team or CFO.
Qualifications:
- Bachelors degree or higher in Finance, Economics, Business Administration, or related
field (Tier 1 university graduates preferred).
- Bilingual in Korean and English.
- 25 years of relevant experience preferred; flexible depending on candidate qualifications.
- U.S. permanent residents or citizens preferred.
- Proficient in Bloomberg, FactSet, or similar research tools.
- Strong analytical skills, attention to detail, and ability to adapt to changing market
conditions.