Honours Degree (4-year) in either Finance, Investments, Economics, Statistics, Operations Research, Financial Risk Management. Other tertiary qualifications depending on experience and evidence of quantitative abilities e.g. Business Science, Engineering
Experience
1-2 years of experience in investment management, portfolio management, portfolio optimisation, asset allocation, or investment strategy experience.
A strong interest in financial markets and asset allocation.
Strong working knowledge of Microsoft Suite (including MS Excel) and experience with using Matlab or other coding languages
Be comfortable with understanding, extracting and charting data from the Bloomberg Terminal
WHAT WE’RE ABOUT
It’s impossible to build a culture based on innovation, world-leading expertise and uniquely smart thinking without bringing together a very special group of human beings.