Quantitative Portfolio analyst – Equities – London

We are currently working with an equity hedge fund based in London who are looking to add a Quantitative Portfolio analyst to their team.

This is an ideal role for an individual with 1-3 years of relevant full time experience or who is currently completing a rotational programme within investment management.

Within this role you will report to the Portfolio Management team and support in the management of client portfolio’s.

You will have exposure to areas of investment management, with a core focus on equity market investing.

In order to apply you must have:

  • 1-3 years of Investment management experience, either within risk, portfolio analysis, portfolio construction or trading.

  • A demonstrable interest in equity markets and equity investing

  • Portfolio analysis experience

  • Strong coding expertise, particularly within Python

  • A master’s degree or equivalent in Mathematics/Computer Science/Data Science/Engineering – Merit or higher

  • The ability to work in the UK without sponsorship

  • CFA level 1 is a plus

Responsibilities include:

• Providing hands on support to the Portfolio Management team with order raising and trade monitoring

• Innovating and optimising monitoring tools for investment portfolios and financial markets

• Client reporting across funds and effectively managing scope and collation of data, seeking to maintain and improve reporting tools

• Collaborating with the marketing team to ensure quality consistency and up-to-date marketing materials in relation to investment portfolios and financial markets

• Representing the firm whilst attending company and client meetings and conferences

This is a great opportunity for an individual to join a market leading team within the fund management space in a role which will allow for both growth and development.

In order to be considered for this role, please send your CV in WORD format to fundmanagement@octaviusfinance.com

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