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- Зарплата
- 90 000 $ – 110 000 $
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Asset Servicing Analyst
Отличная позиция в престижном хедж-фонде с прозрачным диапазоном зарплаты и возможностями для профессионального роста. Высокий балл обусловлен сильной корпоративной культурой и фокусом на современные технологии.
Сложность вакансии
Роль требует специфических знаний в области корпоративных действий и мастер-данных ценных бумаг, а также владения техническими инструментами (Excel, SQL). Средний уровень сложности обусловлен необходимостью высокой точности в условиях быстро меняющейся среды хедж-фонда.
Анализ зарплаты
Предложенная зарплата ($90k - $110k) полностью соответствует рыночным стандартам для аналитиков среднего звена (Middle) в финансовом секторе Нью-Йорка. С учетом бонусов совокупный доход может быть значительно выше среднего по рынку.
Сопроводительное письмо
I am writing to express my strong interest in the Asset Servicing Analyst position at Schonfeld. With over three years of experience in corporate action processing and security master data management within the hedge fund sector, I have developed a keen eye for detail and a robust understanding of referential data integrity across diverse asset classes, including equities and OTC products.
In my previous roles, I have successfully managed complex mandatory and voluntary corporate actions while collaborating closely with portfolio managers and technology teams. I am particularly drawn to Schonfeld’s commitment to innovation and your multi-manager structure. My proficiency in Excel, combined with my experience in process automation and familiarity with tools like Bloomberg and SQL, aligns perfectly with your team's goal of building scalable and efficient data monitoring tools.
I am eager to bring my proactive problem-solving approach and technical skills to the Asset Servicing team in New York. Thank you for considering my application. I look forward to the possibility of discussing how my background can contribute to the continued growth and success of Schonfeld.
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Описание вакансии
The Role
We are seeking a highly motivated, detail-oriented analyst to join our Asset Servicing team in our New York City or Jericho office. The team is primarily responsible for security master data integrity and corporate action processing, although the role will surely expand as our firm grows. Given the dynamic nature of this position and the Asset Servicing team in general, you will interact with all areas of the firm including product management, technology, market data, risk, accounting, trading, portfolio finance, middle office, and our internal and external Portfolio Managers. Although the candidate will initially be focused on corporate action processing and security master data maintenance, the position will undoubtedly evolve into a more robust position such as onboarding new strategies and products, as well as other broader Asset Servicing team mandates. The candidate will ideally have a few years dealing with referential data at a financial firm. In lieu of direct experience in this area, a strong display and history of problem-solving skills, creativity, intellectual curiosity, and ability to both initiate and embrace change would be welcomed.
What you’ll do
The role is primarily focused on security master operational support, referential data maintenance & integrity, and corporate action processing / break resolution. Successful completion of these tasks require attention to detail, ability to multi-task, and a strong sense of responsibility.
- *Corporate Action Processing* - including all mandatory events, including stock splits, spinoffs, stock dividends, mergers, cash dividends, and facilitating voluntary elections by engaging with PMs and managing election deadlines.
- *Security Master Maintenance* - data maintenance and an understanding of the various attributes of a security across all asset classes, including but not limited to market identifiers and OTC terms. Support the build out of new products as the firm continues to expand, ensuring all downstream systems and teams can capture the required data.
- *Data Integrity Improvements* - help build out tools to monitor reference data and strive to achieve the highest levels of data integrity that will ultimately be leveraged firmwide. Participate in process improvements and project initiatives to deliver firm initiatives and strategies that are scalable and efficient.
- *Position breaks resolution* – including reconciling, prioritizing, and resolving cash & position breaks related to corporate actions in a timely manner across PBs and our third-party administrators.
What you’ll bring
What you need:
- A bachelor's degree in Finance, Economics, or related degree.
- 2-4 years minimum experience in Corporate Actions, Security Master or General Operations at a hedge fund, sell-side, or hedge fund administrator; buy-side experience preferred.
- Strong excel skills and the ability to learn new systems rapidly.
- Ability to exercise discretion and independent judgment in sensitive matters.
- Experience with process automation/enhancements and strong technical skills.
- Excellent verbal and written communication skills.
- Strong ownership and a track record of delivering results.
- The ability to carry multiple tasks in a fast-paced environment with strong attention to detail.
- Positive mindset and ability to work effectively in a global team.
We’d love if you had:
- Experience with corporate action processing.
- Knowledge of Bloomberg, Reuters, SQL, Python, ExcelVBA, Power BI is a plus.
- Experience working in a multi-strategy, multi-PM complex fund structure.
- Broad based product knowledge across a wide array of product types including listed equities, futures, options, and various OTC products
Who We Are
Schonfeld is a global multi-manager hedge fund that strives to deliver industry-leading risk-adjusted returns for our investors. We leverage both internal and external portfolio manager teams around the world, seeking to capitalize on inefficiencies and opportunities within the markets. We draw from decades of experience and a significant investment in proprietary technology, infrastructure and risk analytics to invest across four main strategies: Quant, Tactical, Fundamental Equity and Discretionary Macro & Fixed Income.
Our Culture
At Schonfeld, we’ll invest in you. Attracting and retaining top talent is at the heart of what we do, because we believe that exceptional outcomes begin with exceptional people. We foster a culture where talent is empowered to continually learn, innovate and pursue ambitious goals. We are teamwork-oriented, collaborative and encourage ideas—at all levels—to be shared. As an organization committed to investing in our people, we provide learning and educational offerings and opportunities to make an impact. We encourage community through internal networks, external partnerships and service initiatives that promote inclusion and purpose beyond the firm’s walls.
The base pay for this role is expected to be between $90,000.00 and $110,000.00. The expected base pay range is based on information at the time this post was generated. This role may also be eligible for other forms of compensation such as a performance bonus and a competitive benefits package. Actual compensation for the successful candidate will be determined based on a variety of factors such as skills, qualifications, and experience.
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Навыки
- Excel
- Python
- SQL
- Power BI
- Data Integrity
- VBA
- Bloomberg
- Corporate Actions
- Financial Operations
- Reuters
- Security Master
Возможные вопросы на собеседовании
Проверка практического опыта обработки сложных событий.
Опишите ваш опыт обработки добровольных корпоративных действий (voluntary corporate actions). Как вы управляете дедлайнами и взаимодействием с портфельными менеджерами?
Оценка технических навыков и стремления к автоматизации.
Какие инструменты (SQL, Python, VBA) вы использовали для автоматизации сверки позиций или мониторинга целостности данных? Приведите пример.
Проверка понимания структуры данных различных финансовых инструментов.
С какими сложностями вы сталкивались при ведении Security Master для внебиржевых (OTC) деривативов по сравнению с листинговыми акциями?
Оценка навыков решения проблем и внимательности.
Расскажите о случае, когда вы обнаружили критическую ошибку в данных или расхождении (break). Как вы ее устранили и какие меры приняли для предотвращения повторения?
Проверка умения работать в многозадачном режиме.
Как вы приоритизируете задачи в дни пиковой нагрузки по корпоративным событиям, когда возникают одновременные запросы от трейдинга и бэк-офиса?
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