Fixed Income / Macro Hedge Fund Analyst
Our client is looking for someone who is highly driven with strong organisational skills and a highly analytical mind set.
Responsibilities:
- Reviewing and running your own book of Hedge Fund Managers within the Fixed Income/Macro sector
- Demonstrate a solid understanding of the instruments and risks within the trading strategies
- A successful candidate must have a good understanding of the relative value space and the government bond market.
- Demonstrate a complete understanding of all elements of the sector strategy such as sources of return, risk, capacity etc. In addition they should provide insight into the managers’ investment process. They should be able to demonstrate this understanding through very high quality reports, presentations and interaction with employees of the firm
- Demonstrate that you can control a third party manager meeting
- Demonstrate a good knowledge of the Firm’s investment process
- Demonstrate both within the Firm and externally to managers and Clients a good knowledge of the Firm’s analytical tools
- Demonstrate a complete understanding of the manager universe within the relevant sector strategy and a proven ability to select best of breed managers from this universe
- Demonstrate an ability to understand the interactions between managers within the sector universe and how they will interact in a sector portfolio as well as part of broader portfolios
- Be responsive in a constructive way to those groups which interact with Manager Research.
Requirements:
- Excellent academic achievements from top University
- Technical background – ideally from Fixed Income / Macro Trading
- Sector specific experience
- Inquisitive and thought provoking
- Strong communication skills.
Leave a Reply
You must be logged in to post a comment.