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iCapital is seeking an Assistant Vice President or Vice President to join the Investment Strategy team, focusing on international research across EMEA and APAC markets. This role will partner closely with the Portfolio Management Due Diligence team to deliver actionable insights on global macro trends, public and private markets, and alternative investments. The ideal candidate will combine rigorous analytical skills with the ability to craft high-quality thought leadership content, with strong presentation skills.
Job Responsibility:
Conduct macroeconomic, sectoral, and cross-asset research across equities, fixed income, FX, commodities, and private markets with a focus on EMEA and APAC
Monitor policy developments, capital flows, and secular themes such as energy transition, AI adoption, and regional deglobalization trends
Produce high-quality thought leadership materials, including white papers, thematic reports, and market outlooks that are tailored to global institutional investors
Collaborate with the Portfolio Management Due Diligence team and Senior Leadership to frame research questions and deliver executive-ready insights under tight timelines
Support advisor education and client engagement by preparing presentations and market commentary aligned with iCapital’s global perspective
Participate in external-facing activities, including industry events, panels, and client discussions, to represent iCapital’s global investment views and research insights
Research and monitor private equity, private credit, real estate, infrastructure, and hedge fund strategies across international markets
Build and maintain financial models leveraging Bloomberg Terminal, Excel, and regional data sources for analysis
Help establish repeatable research processes and maintain a knowledge base of international market intelligence and thematic trends
Requirements:
7-14 years of experience in investment banking, asset management, private markets, or investment strategy/research, with a focus on international markets
Demonstrated expertise in macroeconomic and cross-asset research across EMEA and APAC regions
Strong understanding of alternative investments, including private equity, private credit, and real assets
Able to produce thought leadership content for institutional audiences such as white papers, thematic research, and market outlooks
Proficiency in Bloomberg Terminal and Excel and familiar with Pitchbook, Preqin, Macrobond, or similar data providers is preferred
Exceptional written and verbal communication skills, with the ability to craft executive-level presentations and client-facing materials
Able to manage multiple priorities under tight deadlines while maintaining attention to detail
Strong modeling and quantitative skills. Experience with scenario analysis and forecasting is a plus
Passion for global markets and curiosity about regional economic and policy developments
Nice to have:
Experience with scenario analysis and forecasting is a plus
What we offer:
Work in the office Monday-Thursday, with the flexibility to work remotely on Friday