Monitor and analyse specific equity/ fixed income strategies, including risk analysis, attribution reports, characteristics analysis and return based statistics reviews.
Communicate with internal teams included Portfolio Managers, Marketing, Client Services, Legal & Compliance & will provide them with regular updates and ad-hoc information requests.
Prepare analytical and risk-based reports for sales teams, board reports and clients.
Have the opportunity to get involved with various projects and influence the business.
It is essential that you can demonstrate:
Strong knowledge of production of analytics and attribution.
An experience of risk and attribution modelling techniques, and the ability to use attribution and risk models such as Factset or Barclays Point.
To be considered for this role you have previous performance experience from within a similar role.
You must have relevant right to work in the UK as no visa sponsorship is available.