Senior Portfolio Manager – Role in UK, London recruitment
The candidate will be responsible for investment management, investment research, asset allocation, investment strategy, investment and trade ideas across all asset classes including alternatives, and risk mitigation and hedging. There is also responsibility for real estate investment.
The candidate will have managerial responsibilities so will have input into board meetings as well as a team to manage.
The candidate will also be client facing i.e. going to meetings with appropriate individuals and talking to clients about their objectives, portfolios, performance, bank strategy, the markets, current trends, counter-trends, research and ideas.
Minimum Requirements:
- 10 Years experience
- Knowledge of equities, bonds and alternatives
- Extensive portfolio construction experience
- Knowledge of risk measurement within an investment portfolio context
- FSA Registered - CF30
- RDR Compliant
Please apply via eFinancialCareers or call Harry on 0207 078 0510 for a confidential discussion.