Job offer

OMI Advisory Analyst

The OMI Advisory Analyst supports the OMI Advisory team in solving challenges and identifying opportunities for global asset allocators by combining financial market expertise with outstanding research and writing skills. The role offers the opportunity to develop at the intersection of geopolitics, macroeconomics, and portfolio risk, and to translate complex ideas into compelling analysis.

Purpose and role

The role of the OMI Advisory Analyst is to work with academic and investment experts to solve key challenges and identify opportunities for sophisticated global asset allocators. As an OMI Advisory Analyst, you will combine expertise in financial markets with exceptional research and writing skills.

Tasks

Your responsibilities include: *
  • Research, development, and articulation of insights on geopolitical events, macroeconomic trends, and other relevant data to support existing research and generate new ideas
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  • Support in developing and updating OMI Advisory research topics and educational frameworks, in collaboration with researchers, academics, technology teams, and investment engines
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  • Planning, writing, and editing/proofreading white papers, primers, and thought leadership articles to ensure clarity, rigor, and engagement
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  • Lead the OMI Advisory and Portfolio Advisory teams to generate groundbreaking financial research for publication
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  • Ensuring the compliance sign-off process for all thought leadership articles in accordance with internal procedures
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  • Collaborate with business strategy and transformation teams to support long-term investment management
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  • Management of the performance and risk framework
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  • Providing industry, academic, and geopolitical insights for relevant markets and support on how OMI Advisory can assist investment firms and clients
  • Requirements

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  • 4+ years of experience in finance roles (markets, research, macro strategy, risk, or financial services)
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  • Proven track record
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  • Strong investment knowledge with a keen interest in financial markets, geopolitics, and macroeconomics
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  • Excellent writing skills, ideally with experience in producing clear, compelling long-form analysis
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  • Excellent academic qualifications—CFA/CFA/Financial Risk Manager preferred but not essential; background in economics, political science, history, or related fields also valuable
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  • Knowledge/understanding of the structure and drivers of returns in financial markets, cross-asset/factor investment strategies
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  • Awareness of current macro trends and how external events influence portfolios
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  • Proficient with data and quantitative concepts; Python or similar programming experience is a plus, but not required
  • We offer

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  • A work environment that promotes quality and opportunities
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  • A unique perspective that contributes to success
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  • An inclusive work environment where diversity and values are deeply rooted
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  • Opportunities for professional development and learning
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  • Flexible working and two annual "Meaningful Days" for community work
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  • A comprehensive benefits package that includes competitive vacation entitlements, pension/401(k) benefits, life and long-term disability insurance, group life insurance, and income protection.
  • Job details

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