Quantitative Portfolio Analyst Risk and Performance

Quantitative Portfolio Analyst Risk and Performance

Quantitative Portfolio Analyst Risk and Performance

Quantitative Portfolio Analyst Risk and Performance

coni+partner AG

Beratung, Consulting

Zürich

  • Art der Beschäftigung: Vollzeit
  • 101.500 CHF – 133.500 CHF (von XING geschätzt)
  • Hybrid
  • Zu den Ersten gehören

Quantitative Portfolio Analyst Risk and Performance

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Über diesen Job

coni + partner, established 1993, is a consultancy company with headquarter in Zurich and subsidiaries in Düsseldorf and Shanghai. We are specialised in custom-fit staffing in tune with the corporate culture by ensuring a perfect match of professional skills, references and personal as well as social skills of successful candidates.

Our client is the asset management of an international bank in Zurich. We are looking for a quantitative finance specialist (m, f, d) as a

Quantitative Portfolio Analyst Risk and Performance

Aufgaben

Risk- and performance-oriented quantitative analysis and calculations for a wide range of asset classes including fund investments in the field of the bank's asset management / Foster in-depth risk analyses, estimates and recommendations based on high quality assessments / Monitoring of risk positions in the investment portfolios / Preparation of reports containing risk analytics and key performance indicators for internal and external stakeholders / Refine methodologies to constantly expand our analysis and reporting capabilities / Optimizing asset management strategies, products, processes and tools / Work closely with other team members, portfolio managers and senior management / Regular reporting to the Head of Asset Management / Participation in projects focused on the continuous development of infrastructure, tools and methods.

Qualifikation

Master in Quantitative Finance / CFA or FRM, as an advantage / Professional experience in asset or portfolio management at a bank or a major fund manager, or in fund auditing / Experience in risk & performance calculation across equity, fixed income, multi-asset and fund portfolios, including private equity Investments / Experience in ex-ante and ex-post risk analysis, including VaR calculations, factor exposures, concentration limits, liquidity risk, tracking error, etc. / Experience with investment restriction set up and controlling / Experience with Bloomberg, Morningstar, FactSet, etc. / Programming skills: SQL, VBA and Python, etc., for the further development of various in-house tools / Strong analytical skills / Team-oriented with process oriented thinking and problem solving mentality / Ability to go into details and to communicate the results to internal stakeholders and investors / English and German.

Please send us your documents for an initial contact by e-mail to contact@coni-partner. com or call us on +41 44 254 90 10. Mr. Ivano Coni would like to support you. Your application will be kept strictly confidential.

coni + partner ag

Ivano Coni

Managing Director

Klosbachstrasse 107

8032 Zürich

Tel.: +41 44 254 90 10

Gehalts-Prognose

Unternehmens-Details

company logo

coni+partner AG

Beratung, Consulting

11-50 Mitarbeitende

Düsseldorf, Deutschland

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