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Antoine ROYER

Genève

En résumé

Mes compétences :
Asset management
Hedge Funds
Analyst

Entreprises

  • Mirabaud & Cie - Hedge Funds Analyst

    Genève 2009 - maintenant Selection of hedge funds. Due diligence on hedge funds managers. Conference calls and onsite visits in Europe and in the US.
    Monitoring of invested managers
    Portfolio construction (For funds of Funds of the group)
    Strategies covered: US and Global Equity Long Short, CTA, Event Driven
  • JP Morgan Suisse (SA) - Investor Specialist

    2008 - 2009 Client management: Investment advice, answer to clients queries, preparation of various clients reports.
    Trading for managed and non-managed accounts.
    Portfolio construction, analysis and recommendation to clients and prospects.
    Cash Management.
  • JP Morgan Suisse (SA) - Analyst - Junior position in Front Office

    2006 - 2008 Sept. 2006 / Current position: Front office
    · Preparation of various clients’ tailor-made reports (assets, performances…) and answer to multiple clients’ queries.
    · Production of different analytical reports on a regular basis for the team on revenues, assets, markets,products, etc. Investigations on in-house reports of the bank related to the team.
    · Preparation of presentations of the bank/team capabilities, products offering, portfolio construction to prospects and clients.
    · Research of information on prospects, existing clients, companies, financial products, financial news, etc.
  • JP Morgan Suisse (SA) - Hedge Funds Operation Specialist

    2004 - 2006 May 2004 / Sept. 2006: Hedge Funds Operations Specialist
    - June 2005/Sept. 2006: Team leader for reconciliations and corporate actions – management of 2 persons
    · Reconciliation of the bank’s positions with fund administrators and investigation of breaks.
    · Booking of corporate actions on client’s accounts and notification to front office.
    · Various related tasks and projects (Transfer of some tasks of the team to JPMorgan in Mumbai, improvement of procedures, automation of reconciliation’s reporting, production of monthly statistics).
    - Dec. 2004/June 2005: Responsible for cash movements and cash reconciliation inside the team.
    - May/Dec. 2004: Member of the trading team
    · Instruction and follow-up of trades with fund administrators. Input of transactions on clients accounts.

Formations

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