Analyze the macroeconomic environment for capital markets with a particular focus on monetary policy and interest rate developments
Use and further develop econometric models to forecast key interest rates in the US, the euro area and selected other countries
Present analysis results to internal and external stakeholders by preparing appropriate briefing materials, presentations and publications
Requirements
Successfully completed university degree, ideally in economics, but also in physics or (business) mathematics
Passion for economic questions and an interest in the world of capital markets that goes beyond the immediate job scope
Excellent analytical skills, with strong competence in quantitative methods
Practical experience with statistics-related software applications and concrete ideas for using AI tools in analysis
Experience in illustrating complex economic issues and presenting them to both specialist and non-specialist audiences
Enthusiasm for experimenting with and shaping new approaches and methodologies
Independent and structured working style
A strong self-image as a team player
Strong service orientation and the ability to align with overarching company goals
Benefits
Compensation: We supplement your attractive remuneration package with various additional benefits and a monthly-loaded shopping card
Work-life fit: Flexible, trust-based working hours with remote work, childcare subsidy and an empathetic working environment make it possible to reconcile work and private life at FERI
Health: Ergonomic, modern workstations are standard — we also offer corporate health management and a variety of sports activities
Mobility: With a discounted RMV-wide job ticket, company bike leasing and a (e-)company car scheme, you gain full flexibility
Development: We promote and support in-house training and external further education in line with our corporate value of “future orientation”