Please note this position is based in London and this will be the contractual location of the successful candidate other locations cannot be considered.
UK Equity Analyst - 12 Month Fixed Term Contract
This role presents an exceptional opportunity for individuals with substantial experience in asset management particularly those with a proven track record of delivering insightful research and investment ideas that yield superior risk-adjusted returns. We are looking for a candidate who join at some point in April.
A bit about the job:
In this role you will conduct indepth research and analysis on publicly listed UK small and midcap companies to support informed investment decisions. You will build financial models perform valuations and deliver highquality investment recommendations for portfolio managers across both equity and sustainable mandates. Working collaboratively with colleagues portfolio managers and wider research and strategy teams you will help shape and justify security selection decisions. You will monitor the performance of research recommendations ensuring alignment with the broader strategic approach and carry out research within an established investment framework. Drawing on robust qualitative and quantitative evidence you will provide clear overweight equalweight and underweight recommendations while contributing to improvements in research processes and analytical methodologies. The role also involves developing and maintaining relevant credit risk assessments integrating research to build models that support idea generation and knowledge sharing and forming wellreasoned views on economic trends and the market cycle. You will work with colleagues to develop innovative riskmanagement and performanceenhancing strategies and where appropriate support the development of junior team members through mentoring and technical guidance.
Skills and experience were looking for:
Either a relevant degree (economics finance accounting or related discipline) or able to demonstrate a suitable depth of intellectual rigour and maturity.
IMC or equivalent; or recognized historical knowledge experience and/or qualification.
CFA or CPA or equivalent qualification.
Experience in applying techniques learnt in a financial market environment.
Expanding knowledge of financial statement analysis and accounting expertise (including financial modelling balance sheet analysis distressed asset valuation etc.).
What youll get for this role:
Generous pension scheme - Aviva will contribute up to 14% depending on what you put in
Eligibility for annual performance bonus
Family friendly parental and carers leave
Generous holiday entitlement plus bank holidays with the option to buy/sell up to 5 additional days
Up to 40% discount for Aviva products
Aviva-funded Private Medical Benefitto help you get expert support when you need it
Brilliant flexible benefits including electric cars
Aviva Matching Share Plan and Save As You Earn scheme
21 volunteering hours per year
In this role youll be Certified under the Financial Conduct Authority / Prudential Regulation Authoritys Senior Managers and Certification Regime (SMCR). This means that well need to complete some regulatory background checks on you before you take up your role and well need to ask you some questions on an annual basis to make sure you remain fit and proper and competent to carry out your role. Well provide training on what holding a SMCR role means when you join us and annually thereafter.
Aviva is for everyone:
We flex locations hours and working patterns to suit our customers business and you. Most of our people are smart working spending around 50% of their time in our offices every week - combining the benefits of flexibility with time together with colleagues.
To find out more about working at Aviva take a look here
Wed love it if you could submit your application online. If you require an alternative method of applying send an email to
Required Experience:
IC