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The Investment Attribution team conduct attribution and analysis of the comapny's portfolios. The team regularly meet with key stakeholders around the business to understand their requirements and continuously review, enhance and deliver relevant analysis.
Production and development of attribution across multiple asset classes
Actively participate in meetings with fund managers , strategist and product specialists
To actively provide enhancements to attribution models and processes
Project work that includes idea generation of new analysis and setting up a framework
Continually seek to understand and satisfy our clients
Ensure appropriate controls are in place for all functions within the team
Share knowledge and collaborate with other team member
Be open and forthcoming with ideas, views and able to form a view
Stay well informed about markets, investments, methodologies and the company's products, initiatives and investor requirements
Educated to a degree level, preferably in quantitative subject
Several years of experience in an analytical role
Knowledge of investment management industry
Excellent understanding of investment strategies and different attribution breakdown
Thorough understanding of derivatives and their uses in portfolio management
Strong bond mathematics skills
Some years of programing experience and working with databases (Python, VBA, SQL)
A real interest for the markets
Exceptional analytical and problem solving skills
Ability to work effectively, both individually and within a team