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Equity Research Analyst, Asian Equities, Asset Management Firm
Senior Equity Research Analyst, Asian Equities Our client is a top performing asset management firm based in London. They are now looking to add an equity research analyst to their team.The focus of the role will the coverage or Asian equities, excluding Japan. The fund follows a long only strategy, and you will carry out general/ cross industry research on companies. This will involve meeting the management of companies, carrying out detailed analysis of companies, markets and sectors. You will have extensive interaction with Portfolio managers and make recommendations on their investment holdings.Candidates Read more […]
Portfolio Risk Analyst (Asset Management)
MG Investments is Prudential plc’s UK based fund management business and is one of Europe’s leading active asset managers with more than £228 billion* of funds under management across fixed income, equity, property and multi-asset strategies. -*as at 31 December 2012OpportunityMAGIM Risk AnalysisAt MG our philosophy is to find excellent fund managers with clear investment skills that will add value. We then empower those managers to implement their skills in the best interests of investors. We believe in the efficiency of small, performance-driven investment teams, but also regard it as critical Read more […]
Compliance Manager, Asset Management
Role Context:This is a key role within AMG in supporting the global business meet its strict fiduciary responsibilities across multiple jurisdictions and the very high internal, and regulatory, expectations arising therefrom. The Compliance Manager works closely with the Global Head of Compliance (GCO), ensuring optimal advice is provided for a broad-range of asset management services within AMG.Key Responsibilities:Ensure an appropriate framework of compliance standards is implemented across the AMG global business, in conjunction with the GCO.Liaise with AMG Compliance Officer’s in respect Read more […]
C## .Net Team Lead / Equities / Asset Management
C# .Net Analyst Developer / Team Lead / SQL Server / Equities / Quant GroupC# Lead Analyst Developer is required by a major Asset Manager to lead a team of Analyst Developers within its Equities Quant Products Group. This is a business facing role encompassing management of new development as well as resolution of support issues with current systems. The role needs someone who is passionate about delivering a high quality service to a very demanding business.Responsibilities:To liaise with the Quant business unit in order to accurately identify business requirements/needs and provide effective Read more […]
Macro Currency Economist – Leading asset management firm
This is a desk Economist position and you will take control of the following regions :- (UK, Japan, Scandies, Switzerland). In order to apply for the position you must be a strong macroeconomist with a distinguished academic background (MA / MS / MPhil / PhD). The hiring manager requires the successful candidate to be experienced in the field therefore a minimum of 3 to 4 years of experience as a desk economist (sell side, buy side, international institution) is required. Whilst you do not have to have covered all the Countries previously you should and have already covered some of Read more […]
Data Operations Manager, Asset Management
We are looking for a proactive data specialist to lead a team, and continue to build-out the capability for data quality management across multiple data categories such as clients, products and securities in our New York office for Asset Management. The successful candidate must have strong problem solving skills with experience in maintaining and integrating data, defining operational processes, and partnering across departments. An ideal candidate is someone who has previous experience in financial data operations or at a financial market data provider. Asset Management, Security Master Read more […]
Asset Management Project Manager
Main Job PurposeThe successful candidate will be responsible for ensuring that a strategic project within a Group programme is appropriately planned, managed and delivered in a timely and cost effective mannerThe project will focus on liquidity and trade related FX functions, therefore the ideal candidate will have knowledge and practical experience in the administration processing of Money Market instruments and Foreign Exchange. Knowledge of settlements across instrument types, and Funds Administration would also be an advantage. The candidate will be internal client focused as they will be Read more […]
Developed Markets Economist – Leading Asset management firm
You will be joining as a Macro economist within their Global Economics team. Your specific Responsibilities will include: Leading G10 coverage, production of economic forecasts (daily/weekly/monthly)Assist in the development of forecasting models, original economic research and analysisDevelopment of reports and presentations both internally and to external clientsWorking closely with portfolio managers – data interpretation Applicants should ideally have:- Associate/VP level experience as an economist covering advanced economies – Central Banking Experience preferred Experience Read more […]
Quantitative Analyst- Fixed Income Products- Asset Management
Quantitative Analyst- Fixed Income Products- Asset ManagementA global asset manager is expanding their fixed income team in New York. A period of sustained growth has put the group in full expansion mode and with expansion comes diversification. An opportunity exists for an experienced quantitative analyst to join a global team in one of the largest asset managers in the world. The successful candidate will be responsible for leading and expanding a fixed income platform, primarily within Bonds and CDS, as well as having the opportunity to expand further into new asset classes. Responsibilities:Development Read more […]
VP, Investment Risk Analytics, Bulge Bracket Asset Management
The professional identifies, assesses, models, measures and manages financial risks (market, credit, counterparty, liquidity, investment compliance, asset pricing, analysis and performance attribution) and identification of operational risks for the funds and the activities of USA Asset Management.Must be able to perform analysis related to the following topics:Pricing of assetsProcess of NAV validationInvestment ComplianceAnalysis of performance of investment productsAnalysis of performance attributionMarket risk managementCredit/Counterpart risk managementLiquidity risk managementBackground Read more […]