As a Manager you will be responsible for managing a portfolio of projects and for the timely delivery of services. You will work closely with Directors and Partners and support engagements while contributing to marketing and business development initiatives.
You will be involved in a range of valuation and advisory engagements relating to financial products (derivatives and cash based) across all asset classes, including both contentious and non-contentious matters. These engagements will also cover risk related aspects such as the modelling of default risk.
Additionally, you will assist with the development of valuation models and modelling techniques for financial assets ranging from complex derivatives and structured products to other hard-to-value instruments that are complex due to illiquidity or a lack of observable market data inputs.
Qualifications