Analyst

Posted 2 Days Ago
Be an Early Applicant
New York, NY, USA
In-Office
150K-286K Annually
Mid level
Consulting • Quantitative Trading
The Role
Supports a Financials Portfolio Manager within a market-neutral strategy by researching banks and consumer finance companies, building and maintaining financial models, conducting primary equity research, analyzing industry and macroeconomic trends, identifying KPIs and variant views, backtesting stock coverage, and generating long and short investment recommendations. The role also involves attending industry conferences and developing relationships with company management teams and sell-side analysts.
Summary Generated by Built In

Schonfeld Strategic Advisors LLC has an opening for an Analyst in New York, New York 

The position duties are as follows:  Responsible for supporting the Financials Portfolio Manager by generating differentiated investment ideas in the Financials sector, specifically banks and consumer finance within a market-neutral framework. Day to day job duties include:  

  • Constructing and maintaining financial and industry models; 
  • Conducting primary research; 
  • Preparing financial and industry analysis; 
  • Generating long and short recommendations for the portfolio; 
  • Attending industry conferences; and 
  • Meeting with company management teams and sell-side analysts and developing relationships. 

Requires a Bachelor’s degree in Economics, Finance, a related field or foreign equivalent, followed by 3 years of progressively responsible experience as an Analyst, or a similar occupation within the financial services industry. Experience must include: 

  • 3 years of experience covering the financials sector, specifically consumer finance or banks stocks; 
  • 3 years of experience with model construction and maintenance, conducting primary equity research and preparing financial and industry analysis; 
  • 3 years of experience identifying key KPIs for each stock, building detailed financial models which incorporate alternative data sources, and determining variant views relative to consensus; and 
  • 3 years of experience identifying the core tenets of the macroeconomic landscape and the influence on the financials sector and back testing the coverage universe of stocks.  

Part time telecommuting permitted.  

Wage Range: $150,000 to $286,000/year 

CV to [email protected], Ref. GJ26. 

Schonfeld Strategic Advisors LLC is an Equal Opportunity Employer


#LI-DNI

  

Skills Required

  • Bachelor's degree in Economics, Finance, a related field, or foreign equivalent
  • Three years of progressively responsible experience as an Analyst or in a similar occupation within the financial services industry
  • Three years of experience covering the financials sector, specifically consumer finance or bank stocks
  • Three years of experience with model construction and maintenance, primary equity research, and financial and industry analysis
  • Three years of experience identifying stock-specific KPIs, building detailed financial models using alternative data sources, and determining variant views relative to consensus
  • Three years of experience analyzing macroeconomic trends, their influence on the financials sector, and backtesting a stock coverage universe
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The Company
HQ: New York, NY
515 Employees
Year Founded: 1988

What We Do

Schonfeld Strategic Advisors is a global multi-manager platform that invests its capital with Internal and Partner portfolio managers, primarily on an exclusive or semi-exclusive basis, across quantitative, fundamental equity and tactical trading strategies. We have created a unique structure to provide global portfolio managers with autonomy, flexibility and support to best enable them to maximize the value of their businesses. Over the last 30+ years, Schonfeld has successfully capitalized on inefficiencies and opportunities within the equity markets. We have developed and invested heavily in proprietary technology, infrastructure and risk analytics. Our portfolio exposure has expanded across the Americas, Europe and Asia as well as multiple asset classes and products. We look for ways to align the interests of investors, investment professionals and the firm, highlighted by the opportunity for investment professionals to co-invest in our funds and their individual strategies.

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