MANAGER RESEARCH / FUND OF FUND

Location
London, United Kingdom
Salary
£50k - £90k
Posted
02 Feb 2023
Closes
17 Feb 2023
Ref
18651627
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
1) Fixed Income / Credit - Manager Research.

Role description:

Responsible for (or assisting with depending on prior experience) the Preferred List process -screening the relevant manager universe, meeting, and selecting the best available managers, and preparing the materials for approval by the investment committee, ensuring all recommendations are backed up by sound research and analytics for clients use also.

Monitor portfolios and production of Quant and Qualitative reports.
Undertake ad-hoc client requests for manager searchers or reviews.
Preferred background:
Fixed Income - manager research
Credit analysis or product specialist in an investment consultancy, asset manager or hedge fund
Analytical mindset - ability to cut through the marketing spin and understand where a manager's edge truly lies.
Excellent verbal and written communication skills
2-5 years of investment experience

You might also have:

Client-facing experience
CFA or CAIA

2) MULTI -ASSET & ALTERNATIVE OR LIQUID ASSETS MANAGER RESEARCH

Responsible for researching, selecting, and monitoring of multi-asset and liquid alternative managers across a diversified range of fundamental and systematic strategies, this team also collaboratively with the Equity and Fixed Income teams, delivering manager research and provide advice to the firm's clients.

Requirements

A background in multi-asset/alternatives research (manager researcher, analyst/PM or multi-asset/liquid alternatives specialist at an investment consultancy, asset manager or in-house team of an asset owner). With.
2-5 years' industry experience.
Experience working with institutional asset owners.
Knowledge of Quantitative and fundamental investment strategies.
Analytical mindset and good quantitative skills.
Ability to communicate complex ideas clearly both verbally and in writing.
Self-starter who takes the initiative and has confidence to express a view.
Excellent Excel and PowerPoint skills.

YOU MIGHT ALSO HAVE

CFA / CAIA
An understanding of ESG and Climate focused investing
Experience using industry tools such as eVestment, Style Analytics, Bloomberg and Financial Express.
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