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M&G

Investment Risk Analyst (Equities)

Posted 2 Days Ago
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London, Greater London, England
Mid level
London, Greater London, England
Mid level
The Investment Risk Analyst will produce analysis on equity portfolios, support risk meetings, prepare presentations for internal committees, and conduct independent research to uncover risk insights, while engaging collaboratively with fund managers and the broader investment risk team.
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At M&G our purpose is to give everyone real confidence to put their money to work. As an international savings and investments business with roots stretching back more than 170 years, we offer a range of financial products and services through Asset Management, Life and Wealth. All three operating segments work together to deliver attractive financial outcomes for our clients, and superior shareholder returns.

Through our behaviours of telling it like it is, owning it now, and moving it forward together with care and integrity; we are creating an exceptional place to work for exceptional talent.

We will consider flexible working arrangements for any of our roles and also offer work place accommodations to ensure you have what you need to effectively deliver in your role.

Role Context:

The Equity Risk Team, part of the broader Investment Risk team, sits within the business' second line risk function, reporting independently to the CRO. It is responsible for the oversight of equity funds and mandates across a wide range of geographies and strategies.

Its key responsibilities include ensuring that risk taking is consistent with the funds' stated objectives and strategy and that the funds maintain appropriate levels of liquidity and diversification. In addition to this, the team work closely with fund managers, providing risk and performance-based insight and analytics to support effective portfolio construction, with the Product and Investment Solutions teams to support the development of new funds and portfolios, and with Sales and Distribution teams to aid with client queries.

Key Responsibilities:

  • Producing insightful analysis on specific equity portfolios for discussion with fund managers across a range of products and investment strategies.
  • Support the running of risk meetings with fund managers, and engaging with the front office during and outside the formal oversight process.
  • Preparing presentations for internal committees (Performance and Risk, and the Liquidity Sub-Committee) to flag issues for noting or of concern.
  • Work with the performance teams to link risk analysis with fund performance.
  • Participation in cross-departmental initiatives in order to foster greater collaboration with the wider investment risk team,
  • Undertaking of independent research aimed at uncovering portfolio/market risk insights which can aid fund managers in improving the investment management process.
  • Undertake ad hoc project analysis as necessary to support new product initiatives.
  • Undertake ad hoc risk analysis as part of the fund management team dialogue and from Sales/Client interaction.
  • Carry out pre-trade analytics on prospective investment strategies and pre-launch modelling on new fund proposals.

Skills, Knowledge & Experience:

  • Some experience working in an investment facing  market risk role, other quantitative finance role or in a position through which the candidate has been able to gain a high-level understanding of equity portfolio management and equity risk models would be preferred. (Essential)
  • Good communication skills. Comfortable in communicating ideas and analysis at different levels. (Essential)
  • Ability to work to tight deadlines. Attention to detail. Ability to set own priorities and deadlines and respond to requests from other business areas in a timely and professional manner. (Essential)
  • Experience dealing with large data-sets and strong quantitative numeracy highly desired.
  • Keen interest in learning and applying new skills. (Essential)
  • Strong data scientists with a keen interest in finance will be considered.

 

Qualifications:

  • 2-3 years'+ experience in an investment risk or similar role at an asset management house or other financial services organisation. (Essential)
  • Understanding of modern portfolio theory and previous experience with using Equity fundamental and statistical risk models (such as, BlackRock Aladdin risk models, Barra etc) preferred.
  • A good degree in a finance related or quantitative subject. Working towards professional qualifications (CFA, FRM, PRM, CQF, etc.) would be looked upon favourably.
  • Experience coding in R, Python, SQL and/or PowerBI would be strongly preferred.

Experience Level: Experienced Colleague

Recruiter: Helen Simons

We have a diverse workforce and an inclusive culture at M&G plc, underpinned by our policies and our employee-led networks who provide networking opportunities, advice and support for the diverse communities our colleagues represent. Regardless of gender, ethnicity, age, sexual orientation, nationality, disability or long term condition, we are looking to attract, promote and retain exceptional people. We also welcome those who take part in military service and those returning from career breaks.

M&G is also proud to be a Disability Confident Leader, and we welcome applications from candidates with long-term health conditions, disabilities, or neuro-divergent conditions.  Being a Disability Confident Leader means that candidates who meet the minimum criteria of a job, will be offered an interview if they 'opt in' to the scheme when applying. 

If you need assistance or an alternative means of applying for a role due to a disability or additional need, please let us know by contacting us at: [email protected]

Top Skills

Power BI
Python
R
SQL
HQ

M&G London, England Office

10 Fenchurch Avenue, London, United Kingdom, EC3M 5AG

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