The successful candidate will have:

  • Previous experience (at least 3 years) in a similar role (with Investment Management firm)
  • Mathematics of finance degree (ideally 2.1) from a leading university with a strong knowledge of Excel VB
  • Good understanding of risk measurement techniques and GIPS
  • Good understanding of all asset types (equities, bonds, options)
  • Highly numerical, analytical and with great attention to detail

Responsibilities will include:

  • Ensure accuracy of profitability data
  • Enhance performance management framework with Head of Analytics
  • Assist in the performance of extensive research to build a detailed understanding of top clients in the firm
  • Perform financial analysis for a top clients and potential prospects