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Analyst, Metals & Energy Capital*

Fixed Income, Currencies and Commodities (FICC) provides a variety of services across the globe with an underlying specialisation in interest rate, commodity or foreign exchange related institutional trading, marketing, lending, clearing or platform provision. As part of our continued growth, we are looking for a Perth based analyst to join our Metals and Energy Capital (MEC) Division. MEC provides debt, mezzanine and equity finance as well as commodity and currency hedging/trading facilities to its clients in the base metal, precious metal and oil and gas sectors. These clients are serviced from Read more […]

June 12, 2013 • Tags:  • Posted in: Financial • No Comments

Executive Director, Asset & Capital Structuring UK

Asset Capital Structuring (ACS) is the Bank’s principal investment team based within the Global Banking Markets Division. The ACS team is one of the fastest growing business units specifically focusing on: (i) equity/residual value positions in Transportation and Manufacturing assets; (ii) equity investments in green field Energy Infrastructure projects; and (iii) development of financial structures to promote key economic sectors.The role:The role is primarily to lead the UK ACS team’s origination activities with UK based clients active in the Transportation (Aircraft, Shipping Rail) and other Read more […]

May 31, 2013 • Tags:  • Posted in: Financial • No Comments

Leading Pricing Analyst (S&P Capital IQ)

Job DescriptionThe Lead Analyst, Pricing will be responsible for coordinating the pricing of securities within the sector (s) assigned. Essential Accountabilities: • Generate market values on various assigned asset types by interpreting key market data elements. • Run and maintain pricing models for assigned asset type. Conduct tolerance testing of results. • Responsible for talent acquisition and development of assigned staff. • Provide oversight of the evaluation staff ensuring independence in their decision making and consistency with our stated methodologies and policies and procedures. Read more […]

May 22, 2013 • Tags: , • Posted in: Financial • No Comments

Private Equity Co-Investment Professional Private Markets Group

Using a range of investment strategies across a spectrum of global fixed income, equity, and private market asset classes, SWIB’s core fund has commonly beaten its benchmarks in the one, five and ten year time horizons with a combination of active portfolio management and allocation of assets to external managers. For more information about SWIB, please visit: www.swib.state.wi.us. SWIB is located in Madison, the capital of Wisconsin and a major Midwestern research technology university city. The Madison area’s strong quality-of-life factors include a vibrant economy; urban, suburban, and Read more […]

May 20, 2013 • Tags:  • Posted in: Financial • No Comments

Emerging Markets Equity Analyst

Position Description:Tracing our roots to 1928, Wellington Management Company, LLP is one of the world’s largest independent investment management firms. With US$784 billion in assets under management as of 31 March 2013, we serve as a trusted adviser to institutional clients and mutual fund sponsors in over 50 countries. Our innovative investment solutions are built on the strength of proprietary, independent research and span nearly all segments of the global capital markets, including equity, fixed income, multi-asset, and alternative strategies. As a private partnership whose sole business Read more […]

May 19, 2013 • Tags:  • Posted in: Financial • No Comments

Portfolio Market Risk Manager, Capital Allocation (VP)

You will be responsible for oversight of portfolio-level risk metrics, including Market Risk Regulatory and Economic Capital, and the Market Risk Stress Testing framework. The Portfolio Risk function also provides high-level MI to senior management, summarizing the aggregate risk profile and material concentrations, portfolio trends and emerging risk issues. KEY RESPONSIBILITIES:Use analytical techniques to assess portfolio market risksInvestigations into complex portfolio risks and significant new trades, provide opinionsInteract with traders, research, risk and other functions, in order to put Read more […]

May 17, 2013 • Posted in: Financial • No Comments

Portfolio Market Risk Manager, Capital Allocation (VP)

You will be responsible for oversight of portfolio-level risk metrics, including Market Risk Regulatory and Economic Capital, and the Market Risk Stress Testing framework. The Portfolio Risk function also provides high-level MI to senior management, summarizing the aggregate risk profile and material concentrations, portfolio trends and emerging risk issues. KEY RESPONSIBILITIES:Use analytical techniques to assess portfolio market risksInvestigations into complex portfolio risks and significant new trades, provide opinionsInteract with traders, research, risk and other functions, in order to put Read more […]

May 17, 2013 • Tags:  • Posted in: Financial • No Comments

MD of Capital Strategy Job

MD of Capital Strategy (Job Number: 1305110)DescriptionUrdang is an investment manager specializing in U.S. and Global REITs, and Value-Added and Core Private Equity Real Estate Investments.Reporting to the Head of the Private Real Estate, our successful candidate will assume primary responsibility for raising capital for the firm’s private equity real estate strategies. While serving as a senior member of the private real estate management team, the candidate will focus on cultivating new investor relationships across the pension fund, endowment and foundation and sovereign wealth fund communities. Read more […]

May 11, 2013 • Tags:  • Posted in: Financial • No Comments

Administrative Assistant, S&P Capital IQ

SP Capital IQ combines two of our strongest brands–SP, with its long history and experience in the financial markets and Capital IQ, which is known among professionals globally for its accurate financial information and powerful analytical tools. SP Capital IQ provides multi-asset class data, research and analytics to institutional investors, investment advisors and wealth managers around the world. We offer a broad suite of capabilities designed to help track performance, generate alpha, identify new trading and investment ideas, and perform risk analysis and mitigation strategies. For more Read more […]

May 9, 2013 • Tags:  • Posted in: Financial • No Comments

Operational Risk Officer, Global Banking & Markets

OverviewBank of America is one of the world’s largest financial institutions, serving individual consumers, small- and middle-market businesses and large corporations with a full range of banking, investing, asset management and other financial and risk management products and services. Bank of America Merrill Lynch is the marketing name for the company’s global banking and global markets businesses.The company is a long-established participant in the European marketplace, with a presence since 1922. With offices throughout Europe and CEEMEA, the company offers an integrated and comprehensive Read more […]

April 22, 2013 • Tags:  • Posted in: Financial • No Comments