An established investment management company seeks an asset allocation analyst to work in a collegiate environment with a growing influence within the research and the wider portfolio management teams.
Your role in this dynamic environment will provide insightful analysis of macroeconomic data and financial indicators that input into investment strategies implemented across various portfolios.
You will also provide input to asset allocation meetings and the wider research team by providing financial modelling and written content. You will also work with marketing to provide content for external communication.
You will have had proven quantitative analysis in top-down economic research from an investment manager, wealth manager or third-party global macro research provider.
This is an opportunity to work in an environment where further development is encouraged by supportive leadership.
Please note this role is offered on a one-year fixed-term contract.