Junior Multi-Asset Investment Analyst

  • Competitive
  • London, England, United Kingdom
  • Permanent, Full time
  • Non-disclosed
  • 10 Oct 17 2017-10-10

An opportunity for an individual with around 1-3 years' experience in equity, fixed income or multi-asset fund manager research and an interest in quantitative modelling to join a boutique investment manager in London.

We would like to hear from individuals with solid experience in researching fixed income and equity fund managers on a UK, European or Global basis. Applicants could come from an asset manager, family office, fund of funds, investment consultant or private bank, and we are fairly flexible on current level of experience with the range of 1-3 years being considered. Applicants will have a grounding in fundamental research but MUST also have an interest in quantitative methods, including experience with R. 

The firm is a boutique investment with an expanding multi-asset business; they pride themselves on their collaborative working environment and the people they hire are always genuinely nice individuals. Work-life balance is excellent.

The role itself involves researching, recommending and monitoring a broad range of long-only equity, fixed income and real estate funds predominantly across Europe. You would be working closely with two Portfolio Managers on a daily basis, researching and analysing potential managers, making tactical recommendations on asset allocation within the portfolios, and sharing investment ideas.  

Applicants should ideally have a finance/economics related degree and have completed level I or II of the CFA. An inherent interest in investing would be expected.

PLEASE only get in touch if you have the aforementioned experience in fixed income and/or equity fund manager research, R, and are already based in the UK. There is no visa sponsorship available for this position.