Manager Research - Associate/VP (Various Asset Classes)

4 days left

Recruiter
Laz Partners
Location
London, United Kingdom
Salary
Competitive
Posted
12 Jan 2023
Closes
11 Feb 2023
Ref
18435909
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
We are working with a leading consultancy that is looking to hire several fund research/manager research candidates across a wide range of asset classes, including credit/fixed income, multi-asset & liquid alts, equities, and real estate.

Our client would be interested in speaking with any strong manager research candidates between 3-12 years' experience (depending on role), provided they have experience in the asset classes mentioned above.

The firm is very well respected with a young, collegiate culture and actively growing. They are ideally looking for people with manager research backgrounds, however, would also be open to speaking with strong candidates that have worked as Product Specialists, Product Strategists, Analysts, or Sales, provided they have a strong technical understanding of fund structures and any of the respective asset classes above.

If this sounds like it may be of interest to you, please see below for brief role overviews. Full job specs and an overview of compensation ranges for each role can be provided after an initial discussion.

Equity Manager Research Analyst

Our client is looking to hire an equity manager research professional (5-10 years experience) who has an in-depth knowledge of equity fund structures (mostly long-only), including developed market equities, emerging market equities, global equities, and region-specific strategies (eg. US Equities, Asia Ex-Japan Equities etc). Manager Research experience is preferred for this role but not essential.

Real Estate Manager Research Analyst

Daily responsibilities will consist of researching both equity and debt strategies, including CRE Debt, Long Leases, Core Property Opportunistic Property Social Housing, Private Rented Accommodation and various other sub-sectors, you will also be responsible for Identifying and screening the real estate manager universe, meeting and selecting the best available managers, preparing and presenting the materials for approval by the firm's Investment Strategy Committee (ISC).

Credit/Fixed Income Manager Research Analyst

Some day-to-day duties of this role would include, researching credit, sustainable bonds and multi-asset credit, EM Debt and various other sub-sectors. Responsible for the assigned strategies, researching new managers and new ever-evolving market themes, monitoring existing rated managers and delivering bespoke client projects.

Multi Asset& Liquid Alternatives Manager Research Analyst

The role involves working collaboratively with the Multi-Asset and Liquid Alternatives teams, helping to deliver manager research and providing advice to the firm's clients. A background in manager research is not essential for this role, however a strong understanding of both quantitative and fundamental investment strategies and multi-asset and hedge funds/liquid alternatives fund structures is essential

If interested in a confidential discussion, please be sure to apply to this role, we would be happy to have a chat to discuss the full job spec and to see if any of the roles could be a potential fit.