Global Equity portfolio manager – (Developed +EM)Asset management
A asset management firm with a large presence in the Equity market is currently looking to add a Global Equity portfolio manager to assist in the management of their global equity portfolios which span both developed and Emerging markets. You will be fully responsible for generating stock recommendations and thematic analysis of investment opportunities from across global equity universe and acting as the lead portfolio manager for selected global equity mandates. Your responsibilities will include:- – Researching, modelling and picking stocks for global equity portfolios- Contributing to thematic Read more […]
Developer/Trader (Execution Trading Systems) – Truly Elite Buy
Pinpoint Asia is the leading specialist Financial IT recruitment firm in the Asia Pacific region. We have carefully and strategically grown our client base to cover a number of the world’s top financial institutions including some of the most renowned names on Wall Street. Our significant market reputation and status as the leading search firm for many of our select clients is a direct result of our strong industry relationships, intimate understanding of the marketplace and proven ability to deliver results. To get ahead, contact us at http://pinpointasia.com/jobs We are also seeking top-calibre Read more […]
Head – Fraud Investigations (Banking/ Consulting)
Head – Fraud Investigations (Banking/ consulting) – Singapore Big 4, Regulatory, Law Enforcement background Expert in Fraud and Investigation Seeking Senior Manager as well as Senior Investigator The position focuses on Fraud Management framework, leading the development, implementation and operations. • Extensive experience in financial services environment in a similar capacity, sound knowledge of Banking products. • Plan, lead and execute investigations and special reviews. • Establish a program for monitoring of operational or financial data to recognize patterns and trends Read more […]
Portfolio Manager/Analyst, European Equities
This role sits in a highly regarded European equities team and the successful candidate will generate investment recommendations across multiple sectors. The core role will be to research and analyse companies, providing recommendations is team meetings. The successful candidate will have: Relevant experience within buy side equity research, ideally with European coverage A track record of stock picking, experience of covering European large cap stocks would be beneficial Strong academic background with a financial/mathematics degree from a top tier university A passion for investing and financial Read more […]
CF10/CF11 Head of Compliance
This leading Equities Brokerage is looking for a CF10/CF11 Head of Compliance to take responsibility for the day to day management of all compliance within the London branch of the business. Responsibilities include but are not limited to: *Ensure compliance with all internal and external regulation *Reviewing and updating all compliance policies and procedures *Providing regulatory advice to all areas of the business *Designing and implementing a comprehensive risk and rules based Compliance Monitoring Programme *Planning and conducting regular risk based business reviews across all areas of the Read more […]
European Equity Sales servicing French Clients
Selling European secondary market research product to France based Asset Managers The market leading independent equities broker in Europe is seeking to add an additional equity sales person to service the French institutional client base (asset managers and hedge funds). The role must be based in London where the sales and research teams are located, but will include regular travel to Paris. The successful applicant will join the existing French sales team. Fluent spoken and written French are pre-requisites for the role, as is a proven track record of selling either equities or an equivalent Read more […]
Credit Risk Manager
My client is one of Asia’s prestigious insurance groups who have a long history within Hong Kong. They are looking for a Credit Risk Manager to analyse credit research for bond and equity investments from a risk perspective. As a Credit Risk Manager, your primary opportunity is to monitor the investment portfolio, consisting of fixed income and equities. You will implement your knowledge of credit risk to perform risk analysis, stress testing, back-testing and develop financial risk models. You will also have the responsibility for taking on ad-hoc research and projects as a part of this opportunity.With Read more […]
Equity & Commodities Structurer (VP), Sales & Trading Desk for UK & Eastern Europe Markets
The Equities Commodities Sales Trading group at this leading Investment Bank creates financial products for Retail distribution networks, Private Banking, Institutional and Corporate clients. KEY RESPONSIBILITIES: Support the development and implementation of new structured products Assist the Sales Teams with the development of tailor-made solutions for customers Support the product life cycle of structured products including legal and tax aspects Monitor the secondary markets for own products and analyse third-party products Provide support for the product management of existing products Read more […]
International Multi-Strategy Hedge Fund – Buyside Equities & Mezzanine Credit – Seeking Private Equity Associates
A leading US Multi strategy hedge fund in London is looking for a top-rated bulge bracket MA Analyst to join their hybrid equity credit Special Situation Fund investing in debt transactions and equities. The fund has 4 funds investing in Long Short equities, Special Situations, CLO and Mezzanine Strategies. The fund has offices in London and New York with an AUM of 9 Billion across both offices. The role will see you report to the Managing Partner who oversees the deals across the fund and has over 15 years experience in both New York and London across US And European Bonds. You will be responsible Read more […]
Asia Pacific Healthcare & Consumer Analyst
Group: Morningstar’s Research group provides independent analysis on individual securities, funds, markets, and portfolios. The Research group also provides data on hundreds of thousands of investment offerings, including stocks, mutual funds, and similar vehicles, along with real-time global market data on millions of equities, indexes, futures, options, commodities, and precious metals, in addition to foreign exchange and Treasury markets. Morningstar is one of the largest independent sources of fund, equity, and credit data and research in the world, and our advocacy for investors’ interests Read more […]