INVESTMENT ASSOCIATE, PUBLIC MARKETS FUND INVESTMENT STRATEGY (New York or San Francisco) – Updated

Our client, a multi-billion dollar, multi-family and institutional investment fund would like to add an Associate to their team that leads public markets strategic asset allocation and investment selection. The Associate will evaluate and re-underwrite the investments of third-party fund managers of public equity, hedge funds, fixed income, and global macro to determine where to allocate billions in assets. You will also co-invest with many of those managers. The role is part of a larger solutions team. It will provide access to top fund managers across the country and offer the opportunity to learn numerous public markets strategies. You will be the PM’s first staffer and hence, you will have the opportunity for rapid growth and high visibility within the overall fund.

The strongest candidates have 1-3 years of buyside investment, portfolio analysis, or other quantitative expertise. Candidates should understand investment theory and know how to code in Python or DBA or have an interest in learning. The ability to draw conclusions from data, work collaboratively with  different teams, and share thoughts and opinions will be necessary to become a senior decision-maker. An MS in Finance, Financial Engineering or a CFA are a plus but not required. Qualified candidates may forward a resume to our website. All inquiries will be handled confidentially.

Please note: You only need to submit your resume once. You will be considered for all open positions. Do not submit your resume to other jobs after submitting once.

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