New York Life Investment Management - New York, NY

posted 5 months ago

Full-time - Senior
New York, NY
Securities, Commodity Contracts, and Other Financial Investments and Related Activities

About the position

The Global Market Strategist - Alternatives role at NYLIM is focused on providing macroeconomic, geopolitical, and investment-related insights to support client engagement and drive multi-asset portfolio management decisions. The strategist will collaborate with various investment teams to identify key market themes and trends, particularly in alternative and private markets, while also contributing to the firm's marketing and sales efforts across different channels.

Responsibilities

  • Develop capital markets perspectives, portfolio strategy, and trade ideas through original research.
  • Apply macroeconomic themes to alternative and private markets conditions.
  • Leverage perspectives to drive portfolio management decisions and product recommendations.
  • Build relationships and research partnerships across the organization, including CIO and investment teams, to identify and socialize key investment convictions.
  • Communicate priority ideas with senior leadership, sales force, clients, and business partners through various mediums such as white papers and presentations.
  • Write for the firm's flagship publications and other reports to generate visibility for published work.
  • Generate use cases for NYLIM's investment solutions in different client channels and develop materials to support marketing activities.
  • Grow NYLIM's brand profile with clients, prospects, and the general public.

Requirements

  • Bachelor's degree in Economics, Finance or related field; pursuit of CFA, MBA or other forms of continued learning a plus.
  • 10-15 years of highly relevant work experience.
  • Direct experience in asset management or strong interest in applying relevant skills to the asset management industry.
  • Fundamental understanding of macroeconomics and the asset management industry.
  • Fundamental understanding of investment products, including equity, fixed income, alternative, and private assets.
  • Applied experience to, or demonstrated interest in developing experience in, alternative and private markets.
  • Ability to learn about, pressure test, and incorporate differing perspectives into a consolidated viewpoint or thesis.
  • Strong writing and communication skills; ability to conduct original research and craft economic and market narratives.
  • Translate research into content that is applicable to a wide variety of audiences.
  • Attention to detail a must.
  • Highly competent with Excel, PowerPoint and Word, as well as industry tools such as Bloomberg or Macrobond.
  • Comfortable with building relationships across research, portfolio management, sales, and marketing organizations.
  • Comfortable with senior audiences.
  • Ability to work collaboratively to achieve team objectives; interest in debating and discussing economic, market, and investment topics in informal settings.
  • Ability to handle multiple projects simultaneously and complete them on time.

Nice-to-haves

  • Insurance industry or other institutional asset management experience a plus.

Benefits

  • Leave programs
  • Adoption assistance
  • Student loan repayment programs
  • Annual discretionary bonus
  • Incentive program participation
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