This role will support the global fixed income portfolio management teams and be responsible for portfolio and market materials (reporting, analytics, review materials etc) and will be involved in a variety of strategic and tactical initiatives across all asset classes. You will:
- Develop client reporting and client portfolio review materials across all fixed income strategies
- Assist in the development of global analytics reporting
- Act as a primary contact point for data across portfolio exposures, statistics and responses
- Develop key reporting tools and content enhancements
It is likely that this inidividual wil possess signifcant exposure to Fixed Income markets as well as some exposure to Reporting and/or Performance within this area and have the capability to interpret and develop relevant Fixed Income Data. You will have prior experience in the development and construction of spreadsheets, strong systems skills and likely some programming expertise.
You may also be studying for/ have an additional qualification such as CFA.