Similar jobs like this one
Perintäkäsittelijä, Perintäkeskus
Mandatum Asset Management Ltd (“MAM”) is new asset management company that was formed by combining Sampo Group’s proprietary balance sheet, client assets and the investments operations from Sampo plc and Mandatum Life. MAM offers discretionary and consultative wealth management and manages various investment strategies within the core areas - Credit, Alternatives and Equity selection. MAM’s direct clients are Nordic and European institutional and UHNWI investors, other client segments are covered through selected distribution networks. Mandatum Asset Management belongs to Sampo Group and is a sister company to Mandatum Life Insurance Company Ltd. At inception, MAM will manage around 24bn euros and employ 100 investment professionals.
Mandatum Asset Management is currently looking for an Analyst to join the reporting team.
We are looking for a finance and investment talent who already is a reporting professional or has a strong ambition to become one. You ideally have theoretical and practical knowledge of investments and financial markets, interest in data analytics and you are keen to develop yourself further. You have natural interest in relevant technologies, including the technical details.
Your role as Analyst
As an Analyst, you are responsible for producing reports and developing our investment reporting practices, which requires managing and analyzing vast amount of data. Our team’s responsibilities include reporting of our investment products for multiple stakeholders, monitoring investment risk limits and developing reporting tools and automation. We work closely with investment operations, portfolio management, sales, IT and several other functions.
To succeed in the position, we expect you to have the following qualifications
- 2-3 years of relevant work experience e.g. from reporting, data or risk management, middle office or similar, preferably from the financial sector
- Master’s degree in relevant field
- Good knowledge of financial instruments, portfolio risk and return analysis and markets overall
- Excellent knowledge of Microsoft tools, especially Excel or PowerBI
- Ability to handle large masses of financial and market data
- Good knowledge and practical experience of SQL, other programming languages or statistical tools, such as R and Python, are considered as an advantage
- Hardworking, self-motivated, and team-minded
- Excellent communication skills in both Finnish and English, other languages are considered as a plus
What we offer you
We offer you a variety of interesting tasks and excellent opportunities for professional growth in a stimulating work environment with highly skilled colleagues as well as competitive compensation and benefits package.
How to apply
Please send your CV, cover letter and transcript of records with salary request by Friday January 28 at the latest.
For additional information on the position, please contact Head of Risk Monitoring & Reporting Antti Toivainen, at +358451298386 on 18.1.2022 at 11-12 or 21.1.2022 at 13-14. Please note that first interviews might be scheduled already during application time.