| Location: |
NJ-Jersey City Mid-Atlantic (DE, DC, MD, NJ, NY, PA, VA & WV) |
| Salary Range: |
85,000 - 135,000 |
| Total Compensation: |
85,000 - 135,000 |
| Job Description: |
Responsible for P&L and performance oversight for hedge funds, separately managed accounts and mutual funds across the fixed income, equities and quantitative strategies businesses. Daily interaction with Controllers management as well as the Business Unit and Operations teams on P&L and control procedures around performance process and reporting. Primary role involves review, analysis and reporting of strategy level P&L and performance related to the company's hedge funds, generation and reporting of gross and net performance for hedge funds and analysis of performance returns against benchmarks. |
| Education and Certifications/Licenses: |
Bachelors, None, None |
| Mandatory Minimum Qualifications: |
8-10 years experience - Degree in Finance / Accounting, CPA or CFA preferred (must include GPA for ALL resumes) - Experience in the financial markets and the investment management industry is highly preferred - Requires an understanding of valuation methods for the types of securities and derivatives (interest rate swaps, variance swaps, inflation linked interest rate products, credit default swaps, total return swaps on emerging market debt, securities -equities, MBS, ABS, emerging market debt, corporate bonds, investment grade bonds, high yield bonds, government bonds) - Strong interpersonal (verbal and written communication) skills - Ability to work in a team environment - Strong analytical and organizational skills - Strong knowledge of desktop applications (Excel, Word, Powerpoint, VBA, Access) - Knowledge of valuation models and functionality, including but not limited to Bloomberg - Experience in a performance measurement role including the understanding of various performance calculation methodologies - Basic knowledge of GIPS standards for performance presentation and composites is preferred - Experience in product control for financial markets including P&L, valuation and accounting is a plus |
| Preferred Qualifications: |
8-10 years experience - Degree in Finance / Accounting, CPA or CFA preferred (must include GPA for ALL resumes) - Experience in the financial markets and the investment management industry is highly preferred - Requires an understanding of valuation methods for the types of securities and derivatives (interest rate swaps, variance swaps, inflation linked interest rate products, credit default swaps, total return swaps on emerging market debt, securities -equities, MBS, ABS, emerging market debt, corporate bonds, investment grade bonds, high yield bonds, government bonds) - Strong interpersonal (verbal and written communication) skills - Ability to work in a team environment - Strong analytical and organizational skills - Strong knowledge of desktop applications (Excel, Word, Powerpoint, VBA, Access) - Knowledge of valuation models and functionality, including but not limited to Bloomberg - Experience in a performance measurement role including the understanding of various performance calculation methodologies - Basic knowledge of GIPS standards for performance presentation and composites is preferred - Experience in product control for financial markets including P&L, valuation and accounting is a plus |
| Benefits: |
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| Overnight Travel: |
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| Relocation Assistance: |
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