Melbourne
Asset Management
Contract or Temporary
The Analyst will conduct applied, investment-focused quantitative analysis for a multi-billion dollar portfolio across a growing range of multi-asset mandates.
Responsibilities:
- Directly contribute to the broader research process by helping to refine or define, implement and select investment signals from multi-asset factors.
- Consider practitioner and academic research related to multi asset factors, as well as replicating key results.
- Work closely with others in the investment team to produce coherent research and advice.
Requirements:
- Bachelors degree
- CFA or Graduate/PHD degree recommended
- Postgraduate study in mathematics and quantitative financial analysis will be highly valued
- 5+ years’ investing experience with a fund manager or superannuation fund
- 5+ years in a similar quant focused role with experience with multi-manager investing strategies
- Strong communication skills, with the ability to interact easily with internal stakeholders and external clients when required