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Client:
Location:
London, United Kingdom
Job Category:
Other
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EU work permit required:
Yes
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Job Reference:
513cc1fabc36
Job Views:
3
Posted:
29.06.2025
Expiry Date:
13.08.2025
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Job Description:
Responsibilities
- Conduct research on fixed income asset allocation and portfolio construction
- Contribute to investment strategy and process innovation at the confluence of macro and credit markets
- Assist multi-sector portfolio managers with top-down portfolio construction and implementation
- Form views on market pricing and contribute to the investment idea-generation process
- Help build models and tools in support of the research process and investment decisions
- Assist other portfolio managers with ad hoc analytical and data work
- Help with the creation and maintenance of client-facing content
Preferred Qualifications & Skillset
- Master's degree in Finance/Economics/Engineering preferred
- 2 to 5 years of work experience in an investment or market research related capacity preferred
- Strong quantitative skills and fluency in applied statistics - time series & cross-sectional
- Advanced programming skills in Python, R or other high-level languages
- Solid understanding of fixed income and other financial assets with working knowledge of macro and financial data
- Excellent command of MS Excel and other Office products, tools and utilities for business use
- Self-motivated, driven individual with the ability to work independently and interact effectively across teams
- Strong communication skills - spoken, written, and presentation in English
- Demonstrated proficiency in multi-tasking, problem solving, and deadline management
- Great attention to detail and high standards of excellence