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Fi/rates portfolio analyst

London
Attribution Search
Portfolio analyst
Posted: 16 June
Offer description

Multi Manager and Multi Billion Hedge Fund is looking to attract a FI/Rates Portfolio Analyst for a new team build. The hiring manager will welcome those coming from Market Risk, Product Control, Vals or Macro pricing who want to step up into a more analytical role. Key Duties will include but not limited to; Detailed PnL analysis Curve construction/design/analysis Model enhancements and optimisation IR sensitives P&L construction and attribution analysis - market movements (Greeks-based PnL attribution) and other explanations for the drivers of performance. Supporting quant models for attribution Intraday firm wide pricing and risk Experience required Strong Fixed Income/Rates knowledge Product Control/Vals or Market Risk/Pricing background Analytical experience across P&L/Vals/attribution Curve construction/modelling not a prerequisite but desire to gain said exposure Hedge Fund or Sell Side

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