Requires a Ph.D. degree, or foreign equivalent, in Economics, Econometrics, Mathematics, Statistics, or related field and 3 years of experience as a Country Risk Analyst, Senior Analyst, ModelAnalysisValid Officer, ModelAnalysisValid Sr. Analyst, Senior Economist, Macroeconometric Modeler, or related position involving modeling and forecasting for a global bank. 3 years of experience must include Macroeconomic Analysis, Forecasting and Scenario Design; Macroeconomics, Time Series Econometrics and Advanced Econometrics; Monetary Economics; Large and Medium Scale Vector Error Correction and Principal Component Analysis Models; and SAS and MATLAB programming languages. Proof of full vaccination against COVID19 required prior to commencing employment.
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