Who We Are:
AB is a leading global investment management firm that offers high-quality research and diversified investment services to institutional clients, individuals and private clients in major markets around the world. AB employs more than 500 investment professionals with expertise in growth equities, value equities, fixed income securities, Multi-Asset Solutions, and alternative investments, and, through its subsidiaries and joint ventures, operates in more than 20 countries. AB’s research disciplines include fundamental research, quantitative research, economic research and currency forecasting capabilities. Through its integrated global platform, AB is well positioned to tailor investment solutions for its clients. AB also offers independent research, portfolio strategy and brokerage-related services to institutional investors.
Who You'll Work With:
The candidate will work within the Fixed Income Risk Management function and will be primarily responsible for implementing the firm’s error management and operational risk framework within the Fixed Income Taxable SBU at AB. The candidate will partner with the areas involved to help them document and correct the error, identify the contributing process weaknesses, and agree on improvements to support our firm’s program of continuous improvement and risk reduction. The immediate focus of this role is error correction and reporting. There is also significant emphasis on the identification, escalation, mitigation and prevention of further exposures. This position will report to the Direct of Fixed Income Risk Management.
What You'll Do:
What We're Looking For:
Bachelor’s degree, preferably in finance or economics
2-5 years relevant work experience, preferably with operational risk or process management
Strong project management skills
Highly analytical with a strong attention to detail
Superior communication and interpersonal skills to elicit consensus from senior managers in the firm
Self-starter with the ability to work both independently and in groups
Intermediate level understanding of the financial markets
Advanced Excel/Powerpoint / Power BI skills
What makes this role unique or interesting (if applicable)?
This is an exciting opportunity for any person who enjoys process analysis, problem solving and continuous learning. The position provides exposure to all departments within the buy-side business’, our multiple Vendors and senior management across the firm. This role works directly with the Investment, Trading and Technology teams, and many other operational business partners who support our account base.
What is the professional development value of this role, i.e. what learning and professional growth does the role offer the candidate?
Excellent opportunity to get a comprehensive view of Portfolio Management and Trading activities in an Investment Management firm, learn and understand how critical processes are performed and optimized, and how they fit together. This role can be a stepping stone for an Operational Risk Manager, Audit position or Associate Portfolio Manager (“APM”).
AB does not discriminate against any employee or applicant for employment on the basis of race, color, religion, creed, ancestry, national origin, sex, age, disability, marital status, citizenship status, sexual orientation, gender identity, military or veteran status or any other basis that is prohibited by applicable law. AB’s policies, as well as practices, seek to ensure that employment opportunities are available to all employees and applicants, based solely on job-related criteria.
Nashville, Tennessee