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Tier-1 brand, metro location, and mid-level generalist role increase applicant competition.
Role demands specialized asset management and fixed-income analytics expertise, limiting cross-industry transferability.
Explicit 3+ years and strong fixed-income and portfolio analytics expertise required.
Lead analysis of portfolio performance and risk metrics to identify sources of returns and manage incidents.
Collaborate with clients' middle and front office teams to solve complex investment portfolio and workflow issues.
Support client production processes and mentor managed services teams to ensure smooth service delivery.
University degree in Finance, Economics, or related field.
3+ years of relevant experience in asset management or financial analytics.
Strong knowledge of financial instruments including stocks, bonds, derivatives (options, futures, swaps, structured products).
Fluent English communication skills required.
Experience working with institutional asset managers, wealth managers, or asset owners in a client-facing role.
Ability to manage multiple priorities independently and collaborate across diverse stakeholder groups.
Familiarity with investment portfolio analytics, risk management, and software/data tools is advantageous.