Absolute Return, Multi-Asset Portfolio Manager

  • Competitive Base and Bonus
  • Londres, Angleterre, Royaume-Uni
  • CDI, Plein-temps
  • Piedmont Ltd.
  • 16 janv. 18 2018-01-16

Working for one of the global leaders in asset management, we seek an individual to manage the Absolute Return Multi-Asset portfolio with responsibility for the performance of the funds and strategy. The Portfolio Manager will contribute to the investment process, combining quantitative and fundamental views.

Role requirements

Investment Knowledge

  • Knowledge of managing Multi-Asset portfolios based on a wide variety of asset classes
  • Knowledge of risk management and sophisticated portfolio construction

Essential qualifications & experience

At least 10 years’ experience in a Multi-Asset or Alternative Investment role. Experience in asset allocation and risk budgeting (this may have been gained at a Multi-Asset fund manager, sovereign wealth fund, proprietary trading organisation, hedge fund or private bank)

A proven track record – at least 10 years

  • A pragmatic, market-aware investment style; identifies opportunities to capture alpha by rapidly finding ways to exploit relatively short-term market movements. Demonstrable expertise in taking high level investment strategy ideas and translating them through to implementation via specific investment ideas within client portfolios
  • Strong academic credentials
  • Undergraduate and graduate degrees from leading educational institutions

Specific other role requirements:

  • Diplomacy and tact
  • Unquestionable personal and professional integrity
  • Excellent interpersonal skills; able to facilitate interaction with senior executives internally as well as with a wide range of business clients externally
  • Collaborative and enjoys working in a collaborative environment
  • Possesses a good balance in ability between strategy formulation and execution
  • Ability to develop a strategic dialogue with clients