Hedge Fund / Asset Management Expert

🌍 Remote, USA 🚀 Full-time 🕐 Posted Recently

Job Description

Job Title: Hedge Fund / Asset Management Expert

Job Type: Part-Time and Full-Time/ Contract

Location: Remote (US)

Job Summary

Join our customer's team as a Hedge Fund / Asset Management Expert, playing a pivotal role on our public markets evaluation and research panel. Leverage your institutional expertise to assess complex financial work, validate research outputs, and shape industry-leading evaluation frameworks. This remote, part-time opportunity is designed for driven professionals eager to influence standards in investment research and portfolio evaluation.

    Key Responsibilities
  • Review and rigorously evaluate equity and/or credit research work samples for analytical integrity and depth.
  • Assess financial models, valuation analyses, and investment theses, ensuring adherence to institutional standards.
  • Develop and provide clear, structured, and evidence-based written feedback on research outputs and frameworks.
  • Collaborate with the panel to design standardized rubrics and robust assessment criteria for public markets research quality.
  • Participate in periodic panel sessions to objectively score and differentiate analyst-level work products.
  • Contribute specialized market and sector expertise across equities, credit, and multi-asset classes.
  • Help distinguish levels of analyst proficiency, providing insights on talent quality and development needs.
    Required Skills and Qualifications
  • Minimum 5 years of institutional experience in hedge funds, asset management, family office investment teams, or multi-asset/credit research platforms.
  • Expertise in fundamental equity and/or credit research, with a track record of financial modeling and valuation (DCF, Comps, NAV, etc.).
  • Deep experience with portfolio construction and position-level risk assessment.
  • Demonstrated ability to review, critique, or mentor junior investment professionals and analyst work.
  • Exceptional written and verbal communication skills, with a meticulous approach to evidence-based reasoning and feedback.
  • Strong commitment to professional integrity, confidentiality, and compliance standards.
    Preferred Qualifications
  • Experience as a Senior Analyst, Portfolio Manager, or Research Lead within institutional investment settings.
  • Sector coverage expertise in technology, industrials, energy, financials, healthcare, or fixed income (IG, HY, bank loans, structured credit).
  • Advanced credentials such as CFA, ABV, CAIA, or FRM.

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