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Company Overview

Cantor Fitzgerald Ireland is part of leading global financial services firm Cantor Fitzgerald. Cantor Fitzgerald has offices and trading desks in all major financial service centres throughout the world. We specialise in equities, Investment Banking, Real Estate, Fixed Income and Currencies. Cantor Fitzgerald’s affiliate businesses include: BGC Group Inc. (BGC), Newmark (NMRK), and GFI Group (GFI). Cantor Fitzgerald Ireland provides a full suite of investment services, primarily wealth management, fund management, debt capital markets and corporate finance

Role Summary

The successful candidate will be an integral part of the investment team and be expected to assist the head of cross asset strategy in monitoring global asset classes, performing portfolio analysis, testing investment strategies and facilitating day to day operations within the Discretionary Investment Team including trading and researching existing and prospective investments.

Key Responsibilities

 

  • Conducting asset class and sector analysis based on thematic trends and macro developments;
  • Research thematic and alternative investment opportunities;
  • Analyse and provide regular updates on existing and prospective investments;
  • Regularly update multiple regressions and clustering analysis for asset classes and economic indicators;
  • Conduct client and portfolio analysis with reference to the investment policy, benchmark, risk analysis and performance monitoring;
  • Assist the Discretionary Investment Team with the preparation of quarterly videos, market updates and ad hoc reports;
  • Regularly monitor and update sustainability screens and reports using the MSCI ESG platform;
  • Review and update portfolio documentation and undertake other ad hoc tasks as requested by the Discretionary Investment Team.

Requirements

  • Conducting asset class and sector analysis based on thematic trends and macro developments;
  • Research thematic and alternative investment opportunities;
  • Analyse and provide regular updates on existing and prospective investments;
  • Regularly update multiple regressions and clustering analysis for asset classes and economic indicators;
  • Conduct client and portfolio analysis with reference to the investment policy, benchmark, risk analysis and performance monitoring;
  • Assist the Discretionary Investment Team with the preparation of quarterly videos, market updates and ad hoc reports;
  • Regularly monitor and update sustainability screens and reports using the MSCI ESG platform;
  • Review and update portfolio documentation and undertake other ad hoc tasks as requested by the Discretionary Investment Team.

 

This role is a CF-4 under the Central Bank’s Fitness & Probity Standards.

CF-4 – Arranging a financial service for a customer of the regulated financial service provider.

Qualified applicants may enclose their CV by clicking the link below

Job Specification

Strategy & Fund Management Associate

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