Senior Group Manager, Market and Investment Strategist
Core
Conduct quantitative and qualitative analysis on macro economy and financial markets to formulate house views on asset allocation and portfolio construction.
Role type
Senior Group Manager, Market and Investment Strategist
Builds
Investment solutions and portfolio management oversight
Domain
Financial Services / Asset Allocation / Macro Strategy
Required skills
Quantitative analysis, Qualitative analysis, Macro economic analysis, Financial market analysis, Asset allocation strategy, Portfolio construction, Thought leadership, Executive-level communication, Stakeholder engagement, Cross-functional collaboration
Preferred skills
Buy side experience, Sell side experience, Economist background, Strategist background
Technologies
N/A
Responsibilities
Conduct in-depth analysis on macro economy and financial markets implications for asset allocation, Develop and formulate Prudential house view on financial market and assets outlook, Support investment solution development and provide portfolio management oversight, Collaborate with local investment teams for market outlook presentations and ad-hoc analyses, Prepare and present investment market analysis and macro strategy insights to senior management and external audiences, Serve as liaison between Group CIO and local investment teams
Seniority
Senior, hands-on IC