The role has a core focus on ’financing’ – working with the global portfolio management team on their financing queries, explaining charges and providing (financing) commentary on their P&L. The second part of the role is more specifically focused on P&L for global PM teams – how is P&L generated / time series of how P&L has moved / lifecycle of where P&L is generated from / P&L attribution / where P&L should go etc.
The hire’s work is highly important, visible and focused on providing detailed value-add analysis to PM teams globally. In this role, the hire will gain direct exposure to industry leading, global portfolio managers – the hire is the sole owner / point person for this remit. This creates a fantastic opportunity for autonomy, learning and development, where progression opportunities beyond this role within the firm will be varied.
Candidates should ideally have 3-5 years of relevant experience, in a middle office/trader assistant/treasury/collateral type role. Knowledge of equity/fixed income financing would be particularly useful. Candidates should have strong tech skills. A solid academic profile is preferable.
The role is roughly paying a 65-85k base salary, with potential flexibility for more experienced candidates. A top performer can earn a large % of base as a bonus. The firm offer an excellent benefits package.