Senior Research Analyst FI Job
Senior Research Analyst FI (Job Number: 1304304)
BNY Mellon is a global investments company dedicated to helping its clients manage and service their financial assets throughout the investment lifecycle. Whether providing financial services for institutions, corporations or individual investors, BNY Mellon delivers informed investment management and investment services in 35 countries and more than 100 markets. BNY Mellon can act as a single point of contact for clients looking to create, trade, hold, manage, service, distribute or restructure investments. Additional information is available at www.bnymellon.com .
As one of the world's leading investment management organizations and one of the top U.S. wealth managers, BNY Mellon Investment Management combines agility, insight and scale to create and deliver strategies and solutions to address our clients' needs. Encompassing BNY Mellon's investment management firms, wealth management organization and global distribution teams, we draw on deep expertise to collaborate with clients and tailor our best ideas and resources to meet their specific needs. We pride ourselves on providing dedicated service through our network of global professionals who have a deep understanding of local requirements.
With our extensive experience in anticipating and responding to the investment and financial needs of the world's governments, pension plan sponsors, corporations, foundations, endowments, advisors, intermediaries, individuals and families, and family offices, BNY Mellon Investment Management is dedicated to helping clients reach their goals.
Description
Mellon Capital Management, a top tier global multi-asset investment manager, is currently seeking a highly qualified Fixed Income Researcher to join their team.
The incumbent will be part of global macro research group that is responsible for designing, developing and testing new models and enhancing existing models in the global macro investment area. The major responsibilities for the role include building, enhancing and validating alpha generation models and risk models for fixed income markets. Additionally the incumbent will help with research and production in other areas of the global macro strategies. The role will also be expected to work on customized strategies and conducting analysis for clients.
Qualifications
- Ph.D. degree or Master degree with minimum of 2+ years of research experience in finance, financial engineering, or economics.
- Extensive knowledge on sovereign sector of the global fixed income market.
- Strong knowledge on quantitative finance such as term structure models, volatility models, and options pricing.
- Familiar with various fixed income market instruments, market conventions and risk management.
- Proven ability to work effectively in a team environment.
- Technically competent, including solid skills on econometrics, Excel and Matlab.
- Strong written and verbal English communication skills.
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Primary Location: San Francisco, CA, US
Internal Jobcode: 07857
Job: Investment Management
Organization: Mellon Capital Management-HR06141
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