This start-up investment firm brings innovative solutions in the fixed income marketplace. The company provides strategic and ongoing advisory services in relation to a wide variety of credit products, facilitating institutional investment in public and private fixed income assets. The co-founders are two industry experts, so this is a great opportunity for someone interested in a career in finance.
Responsibilities may include:
• Incl. NPLs, Auto Loans, SME Loans, Consumer Loans, Mortgage Transactions
• Qualitative and quantitative analysis of a wide range of illiquid investment mandates
• Data and portfolio analysis in Excel/Python (Pandas)
• Ongoing asset management of client portfolios
• Ad hoc sector research, to aide team in understanding of new product sets and portfolios
• Aiding the development team in updating and implementing analysis in our proprietary asset management software
About You
• * Bachelors and/or Masters (2.1) in Finance/Maths/Computer Science/Engineering
• Ideally some experience in Finance (internship/placement year)
• Highly quantitative
• Interested in Finance (ideally Structured Finance)
• Technical Skills:
• Coding Skills (Python preferable)
• Excel Skills (working knowledge of building financial models a strong plus)
• At least one of (both advantageous):
• Proficiency with PowerPoint, Word, Excel
Benefits:
• * Salary 30-40K depending on experience
• 23 days holiday per annum (pro-rata for internship period)
• Where applicable; comprehensive health care plan, life assurance, pension contributions, cycle to work scheme