You have a first similar experience (1-3 years) in Hedge Fund / Private Debt.
You speak fluently French & English.
About Our Client
An asset management firm.
Job Description
Investment Research & Coverage
Monitor the universe of hedge funds and liquid alternative strategies, including performance, risk metrics, exposures and market context.
Source, screen and analyse new hedge fund candidates; maintain and enhance the internal research database.
Conduct quantitative and qualitative due diligence on hedge fund managers (performance attribution, risk factor decomposition, correlation analysis, operational checks, etc.).
Maintain a strong and active industry network (managers, prime brokers, independent analysts, peers, prospects).
Portfolio Management Support
Contribute to the management of the firm's hedge fund portfolios, including allocation monitoring and liquidity management.
Assist with portfolio construction, optimisation, stress testing and scenario analysis.
Prepare investment memos, committee materials and monitoring reports.
Monitoring & Ongoing Review
Provide continuous oversight of existing investments: monitoring of KPIs, exposures, drawdowns, operational updates and risk indicators.
Ensure regular review cycles, documenting findings and escalating relevant issues.
Market & Strategy Analysis
Conduct research on market trends, macro developments and strategy-specific drivers (equity L/S, macro, credit, quant, event-driven, etc.).
Support the team with ad‑hoc analysis and research initiatives.
Operational & Reporting Responsibilities
Liaise with administrators, custodians and service providers regarding subscriptions, redemptions, trade flows and operational queries.
Assist in the preparation of client reporting, presentations and performance commentaries.
The Successful Applicant
Education
Bachelor or Master's degree in Finance, Economics, Business Administration, Financial Engineering or a related field.
Experience
1-3 years of experience in hedge funds, multi‑manager platforms, asset management, investment research, risk analytics or a related field.
Strong interest in alternative investments and hedge fund strategies.
Technical Skills
Strong analytical and quantitative skills; ability to manipulate and interpret data.
Excellent command of Excel (VBA is a plus); experience with Bloomberg, Morningstar, eVestment or similar tools is an advantage.
Understanding of fund due diligence processes and risk metrics.
Soft Skills
Curious, detail-oriented, proactive and willing to learn.
Strong communication skills in French and English (both required).
Ability to work both autonomously and collaboratively in a fast-paced environment.
High level of integrity and professionalism.
What's On Offer
This is an excellent opportunity for a junior professional with initial experience in alternative investments or asset management who wishes to grow in a sophisticated and entrepreneurial environment.
Contact: Sima Kebbe
Quote job ref: JN