About The RoleWhile focused primarily on the equity program, the role also includes involvement in the broader research and implementation works within public markets and will require extensive stakeholder communication.
Other core accountabilities will include :
- Lead or strongly contribute to investment strategy research, manager selection process and ongoing monitoring
- Transition management of cashflows and commercial negotiation of legal documents related to external manager investments
- Prepare detailed client papers and reports as well as assist with performance attribution related activities
- Research projects for existing and new investments
- Keep abreast of ESG and socially responsible investing trends, academic research, and international economic and financial market developments
- About You
You have extensive knowledge of global economics and financial markets paired with high level degree qualifications in economics, finance, commerce, or another relevant field.
You will also present with :
- Strong understanding of asset pricing models
- Strong understanding of portfolio construction and other quantitative techniques
- Extensive experience in managing equity and / or multi asset portfolios
- Ability to represent QIC to external parties
- Highly developed communication skills - both written and verbal
- Knowledge of international data information systems, e.g. Datastream, Bloomberg, Factset etc.
- Knowledge of performance measurement systems