As a Portfolio Manager Analyst/Associate you will support the Research Enhanced Index team with portfolio rebalances, trading ideas generation, stock analysis. This position presents a unique opportunity to learn about the investment decision-making and portfolio construction process and to develop and manage a world class portfolio implementation process.
Job Summary
As a Portfolio Manager Analyst/ Associate you will support the team with portfolio rebalances, trading ideas generation, stock analysis and preparing orders.
Job responsibilities
- Expert knowledge in guidelines and client restriction lists across a range of customised portfolios.
- Help the team to build custom portfolios, automate and improve the investment workflow.
- Oversight of the ETFs life cycle within the team across (rebalance, creations and redemptions).
- Daily portfolios reviews, such as cash level review and related necessary actions, instruct cash flows and COACS.
- Liaise extensively with our key partners across Fundamental Research, Quantitative Research, and Equity Technology.
- Lead risk and performance analysis across portfolios and ad-hoc quantitative portfolio analysis.
- Help the team with oversight on presentation material and key messages.
Required qualifications, capabilities and skills
- Strong academic background, with a degree in finance, accounting, economics, mathematics, computer science, engineering or any other quantitative or technical field with a strong interest in finance.
- Strong knowledge of financial modelling and economics.
- Detail oriented, problem solving, strong communication (both verbal and written) and the ability to thrive in a team environment are critical.
- Confidence with Python, Factset, Bloomberg and Barra, Factset.
- 3 years plus of relevant experience.
Preferred qualifications, capabilities and skills