Brevan Howard est une société de gestion d’investissement spécialisée dans les stratégies alternatives, notamment macroéconomiques.
Junior Business Analyst
Am I a fit — voir ma compatibilitéAbout The Role This junior role within the COO team offers broad exposure to financial markets, with close interaction across Portfolio Management, Risk, and Business Management functions. The role is highly analytical and provides an opportunity to contribute to core business processes and strategic initiatives. Main Duties - Dashboard Development Design, …
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Détails de l’offre
La description complète publiée par Brevan Howard.
Description de l’offre
About The Role This junior role within the COO team offers broad exposure to financial markets, with close interaction across Portfolio Management, Risk, and Business Management functions. The role is highly analytical and provides an opportunity to contribute to core business processes and strategic initiatives. Main
Duties
Dashboard Development
- Design, develop, and maintain dashboards for Credit and Emerging Markets businesses, including live P&L, risk metrics, scenario analysis, financing, and cash usage monitoring. - Performance & Analytics Reporting
- Produce analytical reports covering book-level historical performance, P&L attribution, fund-level performance metrics, counterparty exposure, relative value analysis, and commission tracking. - Risk Analysis Partner with Risk teams to enhance and implement risk analytics and functionalities across products in response to evolving business needs. - AI & Innovation Projects
- Support proof-of-concept development and implementation of AI-driven initiatives within the firm and broader investment workflows. - Cross-Functional Collaboration
- Work closely with Technology (CTO, Grid, Data), Treasury, Fund Control, Coremont and Quant teams to deliver business initiatives aligned with firm infrastructure and governance. Skills & Experience - Strong analytical and quantitative skills with high attention to detail - Good understanding of financial products and associated risk metrics - Proficiency in programming and data tools (e.g. Python, SQL, MongoDB, Github etc.) - Strong communication skills, with the ability to interact effectively with portfolio managers, traders, and risk teams