Analysts will assist Portfolio Managers with building analytical tools to price and risk manage the products we trade mainly - Foreign Exchange and Interest rates. The individual will also supply detailed analytics to support investment themes.
Key Responsibilities
Responsible for execution and booking of trades and interacting with counterparties
Generate trading ideas
Create automated solutions that make existing data collection and signal identification processes more efficient and scalable
Help monitor real-time trade executions on a daily basis and analyze sector and factor exposure to come up with optimal portfolio hedges
Qualifications/Skills Required
At least 5 years of relevant experience, ideally an investment banking role or a buyside firm
Bachelor’s degree preferably in Quantitative finance, Mathematics, Business/Finance, Economics, Computer Science or related fields
Strong experience in financial modelling experience
Strong background in financial instruments
Self-starter and able to work independently
Proven ability to thrive in a dynamic, fast-paced environment
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