Analyst/Reporter (Credit & Rates) – Frankfurt recruitment
Bloomberg News is seeking Analysts/Reporters for our First Word Rates/Credit product, based in our Frankfurt office. The individual in this role will be responsible for providing concise, on-the-spot stories on: RATES: developments in sovereign fixed-income markets, capturing the elements of both ‘what’s happening’ and ‘what it means,’ particularly in the context of macroeconomic and political developments, monetary and fiscal policy, debt offerings, fund flows, repo and money markets, relative value and curve analysis; strategist/analyst calls and buy/hold/sell, overweight/underweight recommendations. CREDIT: Read more […]
Analyst – M&A – London Boutique recruitment
Title Level: Analyst 2-3 Product Coverage: Generalist Sector: Mergers and Acquisitions Career Opportunity: Analyst / Leading Boutique/ European coverage. The role: This is an excellent opportunity to work with one of London’s leading Boutiques with a Pan-European and International presence. The company has excellent credibility, deal flow and a bulge bracket management team. This opportunity is to support a very successful team with all MA activity within the Business Services team, however also to support other sector teams with heavy deal flow , therefore enabling Read more […]
Analyst, Global Banking recruitment
ResponsibilitiesCore team member in multi-sector execution teams across different product areas;With work with the more senior team members in conducting in depth financial analysis including discounted cash flow, comparable company, pro-forma merger analysis and precedent transaction analysis;Active role in origination initiatives including primary presentation drafting responsibilities for presentation and other pitch-related materials;Provision of analytical back-up materials, data collation and market developments, maintaining awareness of relevant client, sector and banking related issues Read more […]
Analyst, Hedge Fund Industry recruitment
Job Description: Two-year program designed to provide an in-depth perspective of a leading hedge fund of funds. General responsibilities include analyses of financial markets, institutional investors, and hedge fund managers. Specific responsibilities in support of account management include but are not limited to the preparation of proposals, marketing materials, client presentations, and client reporting. Analysts will participate in a training program consisting of forums led by PAAMCO experts, case method reviews, and formal introductions of investment methods, strategies and techniques. Read more […]
Analyst – Marketing (Internship) recruitment
Source is a leading European ETP provider with over US$8 billion in assets. Since inception in April 2009, it has seen over US$320 BN traded in its products, making some of its products part of the most liquid ETPs in Europe. Our partners are some of the largest global financial institutions and include Bank of America Merrill Lynch, Goldman Sachs, Morgan Stanley, JPMorgan, Nomura, PIMCO, Legal General Investment Management and Man GLG.Source’s open architecture, multi-partner approach taps into the rapidly expanding Exchange Traded Products industry in Europe by focusing on enhanced liquidity, Read more […]
Analyst, Product Control – Valuations recruitment
Department OverviewBarclays Capital is the investment banking division of Barclays Bank PLC. With a distinctive business model, Barclays Capital provides large corporate, government and institutional clients with a full spectrum of solutions to their strategic advisory, financing and risk management needs. Barclays Capital has offices around the world, employs over 23,000 people and has the global reach, advisory services and distribution power to meet the needs of issuers and investors worldwide. For further information about Barclays Capital, please visit our website www.barclayscapital.com. Read more […]
ANALYST, PRIVATE EQUITY recruitment
• Greater China Focus• Principal Investments OpportunityBased in Hong Kong, your main objective is to assist the Investment Managers in the financial due diligence research and valuation analysis of investment opportunities in the Asia Pacific region. Daily responsibilities include conducting research analysis, financial modeling, screening, due diligence and the execution of prospective private equity investments.To qualify, you will have a solid 2 years of experience as an Analyst with a top-tier investment bank, private equity and/or management consultancy firm. Strong analytical, financial Read more […]
Services,Procurement & Commercial Management APAC, Analyst, Singapore recruitment
Position SummaryThis role reports to the Lead for Procurement and Contract Management for Asia-Pacific. The successful candidate will support procurement and vendor management strategies for projects across the Firm in the region. Procurement team members are based in Singapore, Australia and India. Principal Responsibilities•Partner with CSRE functional team to support the development of commercial strategies to support delivery of projects across Asia-Pacific•Provide analytical support in aspects of the vendor engagement process through to contract conclusionoDevelop tender documentationoReview Read more […]
Global Mutual Funds – Analyst/Senior Analyst recruitment
Business Unit Information: SEI is developing a transformational service and technology capability, incorporating functionality for client administration, financial and non-financial advice, investment modelling and decision support through to full client accounting, portfolio administration and reporting. The suite of services will be the first of its kind, built on a deep understanding of the new wealthy client and how advisers must adapt to serve them and provides truly end-to-end functionality, all residing on a single global platform. This allows for a holistic view of client relationships Read more […]
Senior Quantitative Developer/Analyst – Contracting role recruitment
ResponsibilitiesDevelop models and implement them for Power, Gas, Oil and other commodities in software for pricing and risk managing commodity products and basket derivativesPartner with the trading desk of our clients on related risk management and pricing issuesExplain model behavior and predictions to traders, identify major sources of risk in portfoliosResearch, benchmark and compare results of various trading and hedging strategies RequirementsMaster/PhD in Finance/Economics or in quantitative disciplineOver 8 years of experience in quantitative analysis, ideally within trading companiesCoding Read more […]