Fund Accounting Manager, AVP
Our CompanyState Street Corporation (NYSE: STT) is the world’s leading provider of financial services to institutional investors including investment servicing, investment management and investment research and trading. With $24.37 trillion in assets under custody and administration and $2.09 trillion in assets under management at December 31, 2012, State Street operates in 29 countries and more than 100 geographic markets and employs 29,660 worldwide. For more information, visit State Street’s website at www.statestreet.com.Promoting a culture of excellenceWith more than 29,660 employees across Read more […]
Responsable de la conformité et du contrôle interne
Nous sommes une société de gestion de portefeuilles de 8 personnes, agréée par l’Autorité des marchés financiers. Nos encours, en croissance continue depuis plusieurs années malgré la crise, s’élèvent à près de 400 millions d’euros en gestion collective et mandats, investis en actions et obligations. Notre clientèle est essentiellement constituée de personnes physiques.Nous recherchons un RCCI qui aura également à effectuer certaines tâches administratives. Les principales missions couvriront le périmètre suivant :Plan de contrôle et comités de suivi.Procédures internes.Contrôles Read more […]
GIS Senior Investment Strategist
The Global Investment Solutions (GIS) team is responsible for the management of over USD 100 Billion in multi asset and currency portfolios, and is a solution provider for institutional and private clients. These solutions build on our strength and expertise in the areas of asset allocation and risk management. They include asset and liability modelling; strategic and active asset allocation; investment risk management analysis; portfolio management and construction; consulting, education and training. The GIS team is looking for a Sydney based Senior Investment Strategist, reporting to the Global Read more […]
Senior Principal, Funds Private Investments (London Office)
The CPP Investment Board is a professional investment management organization that invests the funds not needed by the Canada Pension Plan to pay current benefits on behalf of 18 million Canadian contributors and beneficiaries. In order to build a diversified portfolio of CPP assets, the CPP Investment Board invests in public equities, private equities, real estate, inflation-linked bonds, infrastructure and fixed income instruments. Headquartered in Toronto, with offices in London and Hong Kong, the CPP Investment Board is governed and managed independently of the Canada Pension Plan and at Read more […]
Financial Risk Manager
Reporting to the Head of Financial Risk, the successful candidate will identify, assess, quantify and monitor financial risk for the group and the insurance business. This is a second line of defence role and key to oversee the development and application of the Financial Risk Policies. Other responsibilities include: Solvency II and oversight of the Group’s Internal Model.Reponsibilities :Play a key role in developing and maintaining the financial risk policies which can apply at group level and meet the emerging requirements of Solvency II. Specifically: credit risk, insurance risk, market Read more […]
Senior Global Macro Strategist – Fixed Income/Global Macro Asset Management
Senior Global Macro Strategist – Fixed Income/Global Macro Asset Management- New YorkMy client a leading Asset Manager is adding to their global macro desk with the addition of an experienced global macro strategist. The role requires strong ability in both econometric and statistical based modelling. The main duties will revolve around macro economic research ack testing existing models and strategies as well as working directly with two senior portfolio managers who will provide an excellent platform to further develop your quantitative investing knowledge. Prerequisites: Strong academic background Read more […]
Marketing Analyst
The team produces and maintains marketing materials related to the products offered by the business. As a team they will respond to RFP’s and RFI’s as well as producing firm data globally.As a Marketing Analyst you will be involved in responding to RFP’s and RFI’s, maintaining product marketing material and working on various projects. Due to the nature of this role you will interact with the Product Management team to ensure that product information is current.As the ideal candidate you will have experience of working within an Investment Management company in a Marketing Analyst or RFP function Read more […]
Fund Performance & Risk Management / Asset Management
The Role: The successful candidate will join a dedicated Performance Risk team responsible the calculation and provision of performance impact, attribution and risk statistics. The Performance Risk Analyst will provide analysis covering all areas of Fund Management and the analysis will be used by many teams internally including Fund Managers and Sales/Marketing. Providing performance, attribution and risk statistics for multi asset class fund portfolios.Manipulation of data and develop and implement guidelines and procedures for operational use.Working closely with IT and streamlining Read more […]
Communications Business Partner
An exciting new opportunity has arisen for a Communications Business Partner at one of London’s most well known and established investment and asset management firms.Main Duties:To contribute to Infrastructure communication objectives by ensuring the dissemination of relevant and interesting information to employees and key stakeholders, with specific focus on Risk, Legal and Compliance.To provide day-to-day support in delivering the components of the Risk/Legal/Compliance Communications strategies globally.To support the end-to-end management and coordination of all communication events for Risk/Legal/Compliance Read more […]
Quantitative Hedge Fund Hiring R & D Research Analyst- Immediate Hire/ $Negotiable
Role:- In this role, you will sit alongside quant analysts and quant traders and be responsible for carrying out various quantitative research and analytical projects, including organizing and cleaning research data sets, maintaining research processes, performing statistical analysis and back-testing. Requirements:- Ideal candidates should have a minimum of a bachelor’s degree from top tier programs and zero to five years’ working experience, with good scientific foundation, solid understanding of public accounting principles, and sufficient knowledge on financial markets. Masters degree Read more […]