The successful candidate will be part of FIG s India Investment Team and will have strong analytical and quantitative skills and an ability to work collaboratively with a wide range of teams and stakeholders.
- Work within the FIG India Team and contribute to the client service process to ensure a superior level of service and quality for both internal and external stakeholders
- Work alongside the asset-backed securities (ABS), collateralized loan obligation (CLO), commercial mortgage-backed securities (CMBS), and agency and non-agency residential mortgage-backed securities (RMBS) sectors to learn about the different aspects of each market, and contribute to internal and external client deliverables and sector updates
- Provide qualitative and analytical support to PMs, analyzing macroeconomic and industry trends and their impact on the market and client holdings
- Organize and prepare materials related to new investments and existing holdings, including investment committee presentations and ongoing surveillance documentation
- Publish periodic sector updates and daily market information, as well as ad hoc client and internal presentations
- Collaborate with Global FIG PM Teams to develop, implement and maintain best practices for market and portfolio-based commentary requests from clients
- Apply technology and analytical tools to improve investment and client service processes and create scale
- Actively participate in investment training to be a student of the markets and become an integral part of the investment team
Qualifications:
The ideal candidate will possess the below experience and skills.
- Fixed income background required, 3-5 years of fixed income and knowledge of Securitized Assets / Structured Credit experience
- Bachelor s Degree or equivalent with strong quantitative skills. MBA/MS and/or CFA preferred
- Rating agency experience or Insurance industry specific knowledge a plus
Skills and Experience
- Excellent communication and interpersonal skills
- Proven experience working both independently and as part of a team in a highly collaborative, global environment
- Demonstrate outstanding attention to detail and have a passion for thinking critically about financial markets and a desire to further investment knowledge
- Understanding of and dedication to encouraging an inclusive, diverse, and equitable culture
- Flexible, responsive, and self-starting personality
- Strong knowledge of Microsoft Office suite (Excel, PowerPoint, Word), Bloomberg
- Technical skills such as Python, Matlab, Tableau and SQL a plus
We are looking for people who are:
- Curious: You like to learn new things and have a balanced disrespect for status quo
- Brave: You are happiest outside your comfort zone
- Passionate: You feel personal ownership for the work you do and an aspiration to be better
- Open: You value and respect input from others
- Experimental: You make mistakes, but learn from them
- Savvy: You want to outsmart the problem