Analyst

Schonfeld
New York
Workplace: RemoteFull timeUSD 150,000 - 286,000 annuallyFunction: Capital Markets, Trading & QuantExperience: 3+ yearsEducation: bachelorsSkills: ["Research","Analysis","Relationship building","Recommendation development","Modeling"]

Support the Financials Portfolio Manager by creating differentiated investment ideas for banks and consumer finance within a market-neutral framework. Build and maintain financial and industry models, perform primary research, and produce detailed financial and sector analysis. Generate long/short recommendations, identify KPIs and macroeconomic drivers, incorporate alternative data, and backtest coverage. Interact with company management, sell-side analysts, and attend industry conferences.

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Schonfeld
Schonfeld
2 days ago

Analyst

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Last checked: 3 hours agoStatus: Live

Job Summary

Support the Financials Portfolio Manager by creating differentiated investment ideas for banks and consumer finance within a market-neutral framework. Build and maintain financial and industry models, perform primary research, and produce detailed financial and sector analysis. Generate long/short recommendations, identify KPIs and macroeconomic drivers, incorporate alternative data, and backtest coverage. Interact with company management, sell-side analysts, and attend industry conferences.
Location: New York
Workplace: Remote
Employment Type: Full time
Job Function: Capital Markets, Trading & Quant
Seniority: Mid level

Key Responsibilities

  • •Support the Financials Portfolio Manager by generating differentiated investment ideas in banks and consumer finance within a market-neutral framework.
  • •Construct and maintain financial and industry models.
  • •Conduct primary research and prepare financial and industry analysis.
  • •Generate long and short recommendations for the portfolio.
  • •Attend industry conferences and meet with company management teams and sell-side analysts to build relationships.

Pay and Benefits

Salary: USD 150,000 - 286,000 annually

Key Requirements

  • •Bachelor’s degree in Economics, Finance, or a related field (or foreign equivalent).
  • •3 years of progressively responsible experience as an Analyst (or similar) in financial services.
  • •3 years covering the financials sector, specifically consumer finance or banks stocks.
  • •3 years constructing and maintaining models, conducting primary equity research, and preparing financial and industry analysis.
  • •3 years identifying KPIs and building financial models using alternative data, with variant views vs. consensus and backtesting the coverage universe of stocks.
Experience:3+ yearsFinancial services
Education:Bachelor's
Skills:ResearchAnalysisRelationship buildingRecommendation developmentModeling
Tech Stack:Financial modelsEquity researchAlternative dataBacktesting

Company Brief

Schonfeld
Schonfeld is a multi‑strategy investment firm that deploys capital across systematic and discretionary strategies across equities, macro, and quantitative trading, serving institutional and private investors globally.
Industry: Hedge Funds
Company Size: Large (251 to 1,000 employees)
Growth: Established Company
Headquarters: New York, United States
Website