Life Insurer/Asset Manager - Investment Portfolio Analyst

London (Central), London (Greater)
Excellent Base + Bonus + Study Support (if required)
12 Nov 2020
12 Dec 2020
Contract Type
Full Time

Clarence George is working with a leading Life Insurer/Asset Manager on a newly created role in the Rates & Derivatives team. This role is ideal for an ambitious individual keen to gain exposure in Trading within a rapidly growing area of business.


  • 1-3 years’ experience
  • Some Financial Markets exposure – LDI / Rates / Derivatives / FX / Hedging / Interest Rates
  • Strong quantitative skills – Python / Matlab / R / C++
  • Knowledge of an Insurance Balance Sheet would be a bonus but not essential
  • Background in Banking/Asset Management/Insurance
  • Open on qualifications and they will provide any necessary study support. A CQF qualification could be particularly relevant.


  • Clear career progression to Portfolio Manager and beyond
  • Exposure to front office Trading in Derivatives
  • Working closely with senior members of the team highly regarded within the market
  • Phenomenal exposure across a very wide remit (this role could be spread across 3 separate teams in other companies)
  • Very supporting and collegiate working environment.

Please get in touch to find out more about this exceptional opportunity.

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