WhiteGold - an asset management house

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WhiteGold is a fast growing company. We are always keen to meet bright, ambitious people who share our values:

We believe that the recipe for successful business is two thirds good people and one third good luck. We can’t control luck, but we certainly can – and do – look after our people. We can offer an exciting and stimulating work environment with excellent rewards, both financial and non-financial.

If you believe that you are a good fit, send us your CV along with a brief covering letter to careers@wgfm.co.uk

Otherwise, check our current openings:

Senior Credit Trader

 

WhiteGold (London-based asset management and brokerage company) is improving its execution and trading capabilities and is looking to hire a proactive credit trader.

Principal responsibilities:

  • Develop and handle the fixed income business with professional clients and eligible counterparties; cover a broad range of clients based in Russia, CIS, Eastern Europe – banks, funds, asset managers, family offices, HNWIs
  • Execute trades across fixed income sectors (both investment grade and high yield corporate and financial debt, sovereign debt, CDS, loans, FX)
  • Trade ideas generation
  • Tactical asset allocation and positioning of portfolio exposures
  • Preparation and distribution of daily market updates, new issues lists and investment ideas to clients
  • Gather and analyze market colour and communicate relevant information to portfolio managers, other traders and management
  • Work closely with senior management to develop and execute desk and client expansion plans
  • Producing presentation and marketing material for use in client reviews and new business pitches
  • Execute trades in other asset classes (e.g. equity, structured products)

Skills and qualifications:

  • FSA registered - CF 30
  • Russian language
  • Extensive experience in credit trading and knowledge of fixed income and sub-asset classes relating to it
  • Good relationship network with major market participants

The position will be based in Mayfair, Central London and will start as soon as possible

To apply for this position please send a copy of your CV to careers@wgfm.co.uk

Junior trader

 

WhiteGold (London-based asset management and brokerage company) is improving its execution and trading capabilities and is looking to hire a proactive junior trader who will work together with a senior credit trader.

Principal responsibilities:

  • Assist in handling the fixed income business with professional clients and eligible counterparties
  • Assist in coverage of a broad range of clients based in Russia, CIS, Eastern Europe – banks, funds, asset managers, family offices, HNWIs
  • Execute trades across fixed income sectors (both investment grade and high yield corporate and financial debt, sovereign debt, CDS, loans, FX) and other asset classes (equity, structured products)
  • Preparation and distribution of daily market updates, new issues lists and investment ideas to clients
  • New debt issues lists: preparation and update
  • Daily market presentation of key events and market trendsto portfolio managers, senior traders and management
  • Producing presentation and marketing material for use in client reviews and new business pitches
  • Together with operations department - counterparty risk analysis and limits control

Skills and qualifications:

  • FSA registered - CF 30
  • Russian language is a plus
  • Experience in credit trading / knowledge of fixed other asset classes

The position will be based in Mayfair, Central London and will start as soon as possible

To apply for this position please send a copy of your CV to careers@wgfm.co.uk

Portfolio manager

 

WhiteGold Fund Management Ltd (London-based multi-family office and asset manager) is looking to hire a proactive portfolio manager to complement the team.

The prime responsibilities will include:

  • Design and implementation of investment solutions for a broad range of clients based in Russia, CIS, Eastern Europe – private clients, family offices, wealth managers
  • Management of investment portfolios on both advisory and discretionary basis
  • Provide strategic investment advice to clients and prospects across the multi-asset and risk management spectra
  • Strategic asset allocation, structured products analysis and selection, funds research and selection
  • Stock selection and presentation of new ideas to the investment committee. This would entail valuations, analysis, financial modelling, market analysis
  • Portfolio analytics and performance measurement, portfolio performance attribution analysis
  • Assisting with preparation of investment proposals, presentations and reports to clients
  • Working alongside key clients to discuss and explain performance and key exposures of risk in their profiles

Skills and Qualifications: 

  • Extensive experience in multi –asset investing with a buy-side institution
  • Experience in funds/structured products selection would be an advantage
  • Russian language is a plus
  • Degree qualified in numerate/financial discipline or CFA qualified or undertaking CFA or equivalent program
  • CFA qualified or undertaking CFA program is highly preferred
  • FSA registered - CF 30

The position will be based in Mayfair, Central London and will start as soon as possible

To apply for this position please send a copy of your CV to careers@wgfm.co.uk

Portfolio manager - fixed income

 

WhiteGold Fund Management Ltd (London-based multi-family office and asset manager) is looking to hire a proactive portfolio manager to complement the team.

The prime responsibilities will include:

  • Design and implementation of investment strategies for a broad range of clients based in Russia, CIS, Eastern Europe – private clients, family offices, wealth managers
  • Management investment portfolios on both advisory and discretionary basis
  • Strong focus on both investment grade and high yield corporate and financial debt, sovereign debt, CDS, loans, FX
  • Stock selection and presentation of new ideas to the investment committee. This would entail valuations, analysis, financial modelling, market analysis
  • New debt issues analysis and upside potential calculation
  • Portfolio analytics and performance measurement, portfolio performance attribution analysis
  • Assisting with preparation of investment proposals, presentations and reports to clients
  • Working alongside key clients to discuss and explain fund performance and key exposures of risk in their profiles

It is imperative that you have a strong, broad knowledge of credit and fixed income markets.

Skills and Qualifications: 

  • A minimum of 3 years experience with a buy side investment institution
  • Experience in emerging market and high yield credit would be an advantage
  • Russianlanguage is a plus
  • Degree qualified in numerate/financial discipline or CFA qualified or undertaking CFA or equivalent program
  • FSA registered - CF 30

The position will be based in Mayfair, Central London and will start as soon as possible

To apply for this position please send a copy of your CV to careers@wgfm.co.uk