Multi Asset Portfolio Manager Multi Asset Portfolio Manager …

Paragon Executive
in Dublin, Leinster, Ireland
Permanent, Full time
Last application, 24 Feb 20
Excellent
Paragon Executive
in Dublin, Leinster, Ireland
Permanent, Full time
Last application, 24 Feb 20
Excellent
Our client a leading Asset Manager is currently looking to hire a dynamic an talented Multi Asset Portfolio Manager to join their award winning team

The Portfolio Manager is responsible for managing multiple assets across a suite of products including an Asset Allocation programme. This encompasses analysing the Macro Environment and investing accordingly across Equity, Fixed Income, Currency and Alternative Markets.

The duties and responsibilities will include, but are not limited to the following:

  • To help manage the Asset Allocation programme for a suite of mutual funds, oversee the buying and selling of investments with heavy emphasis on risk management.
  • To help manage a number of multi-asset macro total funds. 
  • To undertake quantitative and qualitative analysis of macroeconomic environment with the aim of generating a top down view.

This role offers significant scope within a dynamic portfolio management team, covering a wide range of financial assets and regions. The successful candidate can expect to be constantly challenged while the role offers exceptional growth potential.

Skills / Competencies

  • Strong understanding of fundamental drivers of the macro-economic environment, with an appreciation for investor positioning and technical analysis.
  • Ability to provide concise, effective communication of investment themes/ideas to entire investment team within a highly collaborative culture.
  • Advanced level Bloomberg and Microsoft Office, VBA programming an advantage.

 Qualifications and Experience

  • Graduate at Master’s level (min. 2.1) in an economics, quantitative or business discipline and preferably with an investment industry qualification (e.g. CFA).
  • 3-5 years in investment management across Multi-Asset Portfolios and/or macro analysis with total industry work experience of 5-7 years.
  • Flexibility in managing/analysing across multiple regions.
  • Experience in managing/analysing diverse instruments including cash securities, futures, ETFs plus other derivatives an advantage.
  • Demonstrate an ability to work within a structured investments.

To dicuss this outstanding and unique opportunity further - please contact Colin Mc Ghee on 01-8746770 cmcghee@paragonexecutive.com

www.paragonexecutive.com

 

 

                                               

 

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