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Large Cap Analyst / Portfolio Manager (Financials) Large Cap Bank and Insurance Company focus. Minimum of 5-years proven experience, including active coverage of large cap financial (Bank and Insurance Company) stocks during the Crisis is required. Sell or Buy side experience needed. Strong educational background, solid quantitative skills and MBA, CFA or equivalent preferred. This individual will be expected to conduct fundamental, bottom-up research on large capitalization financial companies, develop proprietary models and effectively communicate (and defend) buy and sell ideas to other team members. Individual must be able to make buy/sell decisions based upon their own modeling, analysis and conclusions and be independent minded, not reliant or highly consuming of Wall Street research. Work as part of a portfolio Team in a cooperative, challenging environment. Individual will support a large cap core strategy with a proven track record and over $1 billion in assets. Relocation to Mid-Atlantic required. Apply in strict confidence with resume to private@assetmanagementsearch.com and use “LC Financials” in the subject line.
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