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Full Analysis: How to Land the Role

Role pressure, recruiter route, and the profile this brief is rewarding. Apply on Employer Site

London

How to Reach Out and Get Noticed

Ryan K.
Ryan K.
Recruitment Consultant C****
Verified Asset Management Firm
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How to Position Yourself for this Role

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Lead with fit Open with Private Equity and Regulatory reporting — Lloyd's, Solvency II, ALM, stress testing in the first third of your CV.
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Bridge your story Frame your background around Lloyd's Syndicate investment team instead of generic finance interest.
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Mirror the brief Repeat the brief’s language around CFA Track before your achievements.
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Prove it fast Add one quantified example that makes CFA (in progress or completed) easy to screen.

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Still to surface

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Fit commentary Missing signals Positioning guidance
Key skills Fixed Income asset class knowledge, Regulatory reporting — Lloyd's, Solvency II, ALM, stress testing, Portfolio and mandate monitoring
Qualifications CFA (in progress or completed), IMC (in progress or completed)
Typical backgrounds Lloyd's Syndicate investment team, Insurance asset management (large insurer investment function)
Experience 2–4 years implied based on seniority, regulatory reporting scope, and expectation to independently challenge external managers

Salary Trend by Experience

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GBP •••K $ •••K GBP •••K $ •••K GBP •••K $ •••K GBP •••K $ •••K GBP •••K $ •••K GBP ••• $ ••• Entry (0-2 yrs) 2-5 yrs 5-10 yrs 10-15 yrs 15-20 yrs 20+ yrs

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Role overview
Role brief

Casson X is hiring a permanent Investment Analyst in the City of London at up to £75,000, reporting to the Head of Investments. The firm is an asset manager mid-transition, bringing a multi-manager investment function in-house from a major insurance group. The analyst will own regulatory reporting (Lloyd's, Solvency II, ALM, stress testing), portfolio monitoring, mandate compliance, cash flow management, and contribute to process automation. This is a build role — the incoming hire will help establish reporting infrastructure and operational frameworks from scratch rather than maintain an existing steady-state function.

Profile rewarded

Candidates with direct experience in a Lloyd's Syndicate or large insurance investment environment will be prioritised. Fixed Income knowledge is non-negotiable. Regulatory reporting fluency (Solvency II, Lloyd's) and familiarity with Aladdin or Bloomberg PORT will separate shortlisted candidates. Technical proficiency in SQL, Python, Power BI, and Excel is a strong differentiator. CFA or IMC progress is viewed favourably but not mandatory.

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Successful Hires

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Competition

How hard is it to get an interview for this role?
Primary competition comes from Lloyd's market and insurance investment insiders

Expect competition from analysts currently sitting in Lloyd's of London market firms (syndicates, managing agents), insurance investment teams at large UK insurers, and investment operations roles at asset managers with insurance clients.

Salary is strong for analyst level — expect a quality applicant pool

The Lloyd's market is relatively small and networked — candidates already known to Ryan Kuhn or Casson X through prior placements or referrals will have an edge.

Candidates with Aladdin experience from insurance mandates are a direct competitive threat

The salary of up to £75,000 is competitive for analyst level in this niche, which will attract strong applicants.

Primary competition comes from Lloyd's market and insurance investment insiders Salary is strong for analyst level — expect a quality applicant pool Candidates with Aladdin experience from insurance mandates are a direct competitive threat Generalist equity or multi-asset analysts without regulatory reporting are weak competition

Risk

Who usually gets rejected for this role?
Lloyd's/insurance filter is likely applied at first screen — mitigate by making it explicit in your application

The primary risk is that the Lloyd's or insurance investment experience filter is applied strictly at first screen — if your background does not include this, your application may not progress regardless of other strengths.

Fixed Income must be your primary asset class — multi-asset or equity-heavy profiles carry rejection risk

A secondary risk is that Fixed Income is treated as a hard requirement and multi-asset or equity-heavy backgrounds are screened out early.

Build environment means ambiguity — assess your own preference for structured vs. greenfield roles

The role is also in a period of structural change, which means ambiguity in scope and reporting lines is likely in the first 12 months — candidates who prefer defined processes may find the build environment uncomfortable.

Lloyd's/insurance filter is likely applied at first screen — mitigate by making it explicit in your application Fixed Income must be your primary asset class — multi-asset or equity-heavy profiles carry rejection risk Build environment means ambiguity — assess your own preference for structured vs. greenfield roles £75,000 cap may be below market for senior analyst profiles with 4+ years of direct experience

Tailored Materials

Use tailored application materials for this role
Cover note must name Lloyd's or insurance background in sentence one

Cover note (3–4 sentences): Open by naming your current firm and your Lloyd's or insurance investment background.

Reference Solvency II or Lloyd's QRTs by name — not just 'regulatory reporting'

State your Fixed Income focus and name one specific regulatory framework you have delivered (e.g.

CV profile line should include: Fixed Income, Lloyd's/insurance, Solvency II, Aladdin, SQL/Python

Solvency II look-through, Lloyd's QRTs).

Cover note must name Lloyd's or insurance background in sentence one Reference Solvency II or Lloyd's QRTs by name — not just 'regulatory reporting' CV profile line should include: Fixed Income, Lloyd's/insurance, Solvency II, Aladdin, SQL/Python Frame your interest in the role around the build opportunity — not just the firm or salary
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Role Brief

What the live job description actually says

Use the original brief to validate the analysis and lift exact language.

Posted on the Senna Private Equity Careers Network.

Overview

This is an Investment Analyst opportunity based in the City of London, sitting within an asset manager that is in the process of bringing its multi-manager investment function in-house from a major insurance group. The transition represents a significant period of structural change, and this hire will play a meaningful role in shaping the operational and analytical foundations of the investment portfolio as it is established internally.

The role reports into the Head of Investments and works closely with both Strategy and Operations leads. It carries a salary of up to £75,000, is permanent, and operates on a full-time hybrid basis.

Key Responsibilities

  • Produce regular regulatory reporting covering investment holdings, investment look-through, derivatives positions, and realised and unrealised returns, in support of Lloyd\'s, Solvency II, ALM, and stress testing requirements.
  • Support the Head of Investments in maintaining control and operational integrity across daily execution, regulatory compliance, and portfolio monitoring.
  • Deliver data-driven insights and accurate reporting to both Strategy and Operations leads.
  • Manage day-to-day asset movements and maintain disciplined cash flow management and forecasting.
  • Monitor portfolios and mandates to ensure they remain within defined control ranges, risk appetites, and liquidity parameters.
  • Independently monitor and challenge external investment managers to ensure full compliance with mandates and guidelines.
  • Support compliance monitoring and internal reporting processes.
  • Contribute to process automation and system development alongside BAU responsibilities.

Skills & Experience

  • Prior experience in a similar investment analyst or investment operations role within an asset management environment.
  • A strong bias toward Fixed Income asset classes is required.
  • Experience gained within a Lloyd\'s Syndicate or large insurance investment environment is highly preferred and will be prioritised in the selection process.
  • Solid understanding of regulatory reporting, internal reporting, cash flow management and forecasting, and compliance monitoring.
  • Familiarity with data, custody accounting, and risk systems from both a BAU and process automation perspective; experience with Aladdin and Bloomberg PORT is a distinct advantage.
  • Proficiency in SQL and/or Python, Power BI, and Excel is highly advantageous.
  • Progress toward or completion of the CFA or IMC is viewed favourably.

Why This Role Stands Out

The asset manager is at an inflection point, transitioning a previously external multi-manager investment function into a fully in-house operation. This creates genuine scope for the incoming analyst to contribute to building processes, frameworks, and reporting infrastructure from the ground up, rather than inheriting a static function. The organisation already has a number of experienced and well-regarded investment professionals in place, and the broader benefits package is described as wide-ranging — full details are available upon application.

Application Process

To be considered, please submit a relevant CV. Candidates from all backgrounds are encouraged to apply. The recruitment process is merit-based and inclusive. If you require any adjustments or assistance at any stage of the interview process, please indicate this when making contact.

Job Reference: JM1410

About Senna

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