Job details
Location: London
Date Posted: 27 January 2021
Category: Investment
Job Type: Permanent
Job ID: Competitive
Description
Our client is a pension fund who is looking to recruit a Multi-Asset Investment Manager to help manage and co-ordinate portfolio implementation and transitions in a consistent, risk managed and cost-efficient manner.
Main responsibilities:
1. Manage portfolio order generation, cash and FX, corporate actions, and transitions across quantitative and fundamental equity portfolios, overlays and pooled funds.
2. Formulate implementation plans driven by pre-trade analysis.
3. Achieve good execution outcomes, working with the dealing desk.
4. Develop good relationships with operations, IT, compliance and other relevant departments.
5. Utilise automation tools to enable value added analysis.
6. Analyse markets, index and portfolio changes.
7. Manage approval and set up of new portfolios securities and markets.
Candidate requirements:
1. 7-10 years industry experience.
2. Broad knowledge across equities, bonds, FX and derivatives.
3. Strong quantitative and data analysis skills.
4. Ability to demonstrate leadership and management.
5. Comfortable with relevant portfolio management systems and tools, and basic programming languages – SQL, VBA, MATLAB.
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