Position
We are a multi-family office startup run by a team of experienced fund managers and tech entrepreneurs. The assets that we manage include publicly traded securities, VC/PE funds, private loan portfolio, startups and crypto. We are looking for an experienced and curious person with a background in investment analysis/modeling who will co-create the product with us and help us invest better.
Responsibilities
- Financial analysis of public/private investment opportunities and macro
- Reconciliation of trades, maintaining and updating portfolio reporting files
- Automation of portfolio monitoring and reporting workflow
- Creation of internal and external IT-products for portfolio/market monitoring and analysis
- Communication with partnering institutions - banks, brokers, funds
Requirements and skills
- Good knowledge and experience with all asset classes/types: equity, credit, FX, alternatives, funds, derivatives, crypto
- Understanding of economics and macro (rates, fiscal, FX)
- Strong Excel skills (complex files, vlookup, logic functions, graphs and tables etc)
- Strong AI-tools user, vibe coding experience will be an advantage
- Automation experience is a big advantage (code, no-code, AI-based)
- Primary location or willing to move outside of Russia
- Fluent English, Russian
Please contact us with your CV at ****igor@s16fo.com with the role title in the subject