Multi-Asset Investment Analyst, Sovereign Wealth Fund, Riyadh

Mandate Status: 
Active
Mandate Code: 
PIR003/1/1
- A Sovereign Wealth Fund is seeking individuals from Asset Management, Equity & Fixed Income Research backgrounds at Analyst level to join their Multi-Asset Investment team
- The fund has a Global (ex GCC) mandate, both directly and through fund-of-fund investing
- The Sovereign Wealth Fund’s stated aim is to become the largest Sovereign Wealth Fund globally within the next 3 years

Requirements: 

  • 1 – 3 years of relevant professional experience, gained in buy-side or sell-side research
  • Experience working in international financial centres (London and New York)
  • Demonstrated analytical and financial modelling skills
  • A comprehensive understanding of global macroeconomics and market dynamics
  • Strong verbal and written communication skills
  • Degree in a quantitative discipline from a leading institution
  • Completion of or progress towards the CFA or similar qualification would be beneficial

Responsibilities: 

  • Carry out detailed financial analysis and appraisal of current and proposed investments
  • Perform analysis of a sector or asset class as allocated by senior members of the team
  • Analyse performance of global long only funds for fund-of-fund investments
  • Source new investment ideas
  • Assist in creation and maintenance of detailed financial models and industry databases to aid analysing investments
  • Contribute towards preparation of investment research reports for the Investment Committee

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