2022-07-29 11:26:48

Analyst/Strategist in Business Development and Offerings

CVMarket.lt klientas

Job Description

As a Strategist in Wealth Products & Advice, Investment Advice you strive to deliver great products, services and investment advice to all our retail customers across the Nordic countries and Luxembourg.

In order to provide our customers with even more timely and relevant investment advice, we are looking for an economist with strong  communicational skills in English (primarily written) and great understanding of and interest for  macroeconomics and financial markets.
 
You will be part of Investment Advice and work closely together with the global Strategy & Macro team and other investment specialist. You will deliver analysis of financial markets, asset classes and the global economy in order to support our work with Danske Bank’s House View and Danske Asset Allocation View.

A Typical Day:
(20%) Responsible for our daily comment together with a colleague from our Equity team, you eager to and a curious in monitoring financial markets and you investor behavior.
(25%) Support and make publications together with the teams in Copenhagen, Oslo and Helsinki about financial markets, global economic developments and investments on a live basis.
(15%) Deliver relevant, clear and understandable messages/models/calculations to a defined target group of customers
(20%) Support the spokes persons in the Nordic countries with analysis/various inputs in order to maintain and develop Danske Banks presence in the local medias
(20%) Contribute with input/updates to presentation materials i.e. one pagers, presentations, content writing and proof reading.
 
Tool Proficiencies:
25% - Macrobond
25% - Bloomberg/Thomson Reuters Eikon
20% - DataStream
10% - Excel
15% - PowerPoint
5% - Word

Requirements

The desired candidate is passionate about story telling about the financial markets and is dedicated to making insights available in a customer friendly way.
 
40% Storytelling
The ability to communicate the story about macro- & financial markets news + be excellent to withdraw the essence of the stories and the drivers of the market on a day-to-day basis, within sharp deadlines.
50% R&D
Research and develop our current and future tactic asset allocation by providing your colleges in Copenhagen with an extract of findings.
10% Manuel procedure
Update and maintain outstanding recommendation on the preferred list.

  • Master’s degree in Finance/Economics or similar
  • Knowledge of and interest in Financial markets particularly tactic asset allocation
  • Ability to work autonomously and collaborate across countries
  • Strong analytical skills
  • Great communicational skills
  • Programming skills in VBA
  • Expert user of Microsoft Office
  • Fluent English in writing and speaking
  • Knowledge to Danish and other Scandinavian languages is preferable but not a requirement
  • 1-3 years of relevant work experience

Company offers

  • A truly unique opportunity to become a part of newly establishing Wealth Management business development hub in Lithuania.
  • A growing, international company which concentrates on innovative business facing solutions.
  • Work together with a team of top level international business consultants who will inspire you to succeed.
  • A challenging role giving you an opportunity to be exposed to the whole wealth management value chain, not just a segment of it.
  • Opportunity to grow your career and develop competences.
  • A collaborative Scandinavian culture.