Job Overview
If you recognize yourself, you might be who we are looking for! In this key role within the Investment Management function, you will develop the investment strategy for Eurozone equity and government bond markets, as well as the economic outlook for the region.
We value an independent way of working, logical thinking and offer you the chance to work in a dynamic team environment within an international, multi-cultural department.
What you will do
You are responsible for developing successful investment strategies for the region that consistently generate excess returns within the context of multi-asset portfolios
You help to devise profitable strategies more broadly across differing timeframes
You will provide prescient macroeconomic forecasts and scenarios for the Eurozone region to provide the economic backdrop for the Zurich Group
Develop aggregate team capabilities and ensuring integration of regional views within a well-established cross-border framework
Represent expert views in a multitude of publications, presentations, and media interaction
15+ years of experience within the investment industry with a minimum of 5 years as a senior portfolio manager, asset allocator or investment strategist, with a proven track record
Deep understanding of the European financial markets
A good understanding of the latest quantitative analysis and evaluation techniques, and experience in formulating and explaining top-down macro investment strategies
Strong ability to project confidence and argue persuasively with senior professionals on investment strategy
Excellent verbal and written communication skills in English
Job Detail
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Offerd Salary120,000 CHF
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Career LevelOthers
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Experience4 Years
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GenderBoth
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INDUSTRYBanking
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QualificationMaster’s Degree