Permanent Portfolio Management Jobs in London

1 to 25 of 70 Permanent Portfolio Management Jobs in London

Power Portfolio Specialist / Manager (PPA’s)

London Area, United Kingdom
Redstone Search Group
an edge in today’s volatile market. Redstone Commodity Search are working with a global oil & gas company who are looking to hire power portfolio specialists/manager’s to join their team in the UK, Denmark or Norway. Key Responsibilities/Tasks Part of the power portfolio management unit responsible for PnL, and the company’s renewable assets, focused around mid to long term PPA’s Work closely with the origination and trading teams to optimise the company’s power portfolio Create, maintain and develop analysis and position management tools as well as … trading methodologies for pricing the portfolio Support the analysis of new business cases and opportunities Role reports to Head of Power Portfolio Management Key Qualifications/Experience Minimum 3 years experience in a portfolio management, portfolio specialist, portfolio analyst or similar role focused more »
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Portfolio Manager

London, United Kingdom
D&R Recruitment
Portfolio Manager Salary: £30k - £55k + Free Gym Membership + Pension Contribution + Many more benefits Location: London 5 days in office - Full-time The Role: We are now looking for an exceptional, ambitious Portfolio Manager who will report to the Head of Portfolio Management and … be primarily involved in the management of our growing portfolio of development, refurbishment, and bridge loans. About the company: Our client is a forward-thinking, fast-growing specialist bridging, refurbishment, and development lender founded and run by people who understand property, driven by its mission to make borrowing … are not limited to: Monitoring the progress of the loan, including construction, sales, planning, and refinances. Identifying and assessing early warning signs across the portfolio to recommend and implement risk management strategies on specific projects. Managing the drawdown processes on live loans, including corresponding with appointed Project Monitoring more »
Employment Type: Permanent
Salary: £55,000
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Principal Recruiter

London Area, United Kingdom
Hybrid / WFH Options
Algo Capital Group
Position: Senior Recruitment Consultant (Trading & Portfolio Management Recruitment Team) Location: London, UK Open to: Hybrid, Remote, On-site Position Type: Full-Time About us: Algo Capital is a leading global talent search firm specializing in Trading, Quantitative Trading, Machine Learning, and High-Performance Computing technologies. We are rapidly … growing and seeking a driven Principal Recruitment Consultant with a deep understanding of the trading and portfolio management landscape to join our London-based team. Who you are: Proven track record in recruiting Trading, Quantitative R&D, and Portfolio Managers Deep understanding of the trading landscape, market … trends, and unique talent requirements Experience working closely with Portfolio Management leaders to translate business priorities into talent strategies Leverage our streamlined process to attract exceptional PM talent, from ultra-high frequency systematic to low-frequency discretionary trading. Agile, adaptive, and confident in navigating fast-paced trading environments more »
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Senior Developer – Python expert - New Crypto Systematic Prop Desk

London Area, United Kingdom
Xcede
office trading systems for a Hedge Fund, Prop Trading, &/Tier-1 Investment Bank. Working with the Quant Research, Quant Development and Trading/Portfolio Management teams, you will be responsible for the design, build and implementation of an enterprise trading platform covering both Front and Middle office … functionality – Execution Order Management Portfolio Construction, Management, Contribution and Attribution Market Connectivity Risk and Analytics Engine Hybrid Model Candidates suited to this position within this foetal staged team will have Minimum 5 years’ experience building front office trading/portfolio management solutions, including the likes … of OMS, EMS, Portfolio Construction, etc. Crypto knowledge is NOT required but preferred, if not prior experience with Equities, FX or Rates is needed Minimum 5 years’ experience of Python including the scientific libraries, experience of OO languages such as C#, C++ highly desired Cloud based systems experience be more »
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Portfolio Construction

London Area, United Kingdom
The FISER Group
Bruin has partnered with a French Asset Manager, who are a seeking an experienced Portfolio Constructor to join their Treasury and Exposure Management team. The selected candidate will play a vital role in providing passive non-discretionary portfolio management services on portfolios delegated by global Asset … Management (AM) investment teams. Working alongside a team of six portfolio managers, you'll be responsible for a range of standardised order-raising activities, all managed within a risk-mitigating framework of controls. Key Responsibilities: FX Management: Currency risk on portfolios, ensuring adherence to targets set by … delegating portfolio managers. FX forward hedge adjustment orders as necessary. Share class hedging, including managing hedging requirements on the hedged share class range. Non-base currency balances and raise spot FXs to fund/repatriate non-base cash flows. Cash Management: Excess cash into Money Markets UCITS with more »
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PMO Lead

London, United Kingdom
NHS North East London
process; contribute to the measurement of the impact of NEL's transformation programmes and supporting teams to improve this where necessary; support of risk management and governance processes across the portfolio and supporting programmes with risk identification, mitigation, and escalation; support the Transformation and PMO Forum; support maintenance … PMO Toolkit; and contribute to the coordination of the Transformation and PMO training programme. The PMO Lead will support and coordinate elements of the portfolio management office's work and may be responsible for elements of the performance and impact of these areas of work. This role will … also provide line management within the portfolio management team, including pastoral care and support with professional development, as well as leading on the development of professional skills and standards. About us North East London is steeped in history and culture, and home to over two million people more »
Employment Type: Permanent
Salary: £51488.00 - £57802.00 a year
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Head of ESG (Environmental, Social and Governance) Infrastructure Investment

London Area, United Kingdom
Vita
Head of ESG (Environmental, Social and Governance) Infrastructure Investment London Permanent Staff Our client is a leading asset management firm specializing in infrastructure investments. They manage a diverse portfolio of infrastructure assets across various sectors, including energy, transportation, utilities, and telecommunications. Committed to sustainable investing, they prioritize Environmental … to lead their ESG efforts within the infrastructure investment division. The successful candidate will drive the integration of ESG principles across the investment processes, portfolio management, and stakeholder engagement activities. Reporting to the Chief Investment Officer, the Head of ESG will play a critical role in enhancing ESG … into Investment Processes: Work closely with investment teams to integrate ESG considerations into the investment lifecycle, including due diligence, investment decision-making, and asset management practices. ESG Risk Management: Identify, assess, and mitigate ESG-related risks across infrastructure investments, including climate change, social impact, regulatory compliance, and reputational more »
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Data Analyst - Delegated Authority - Insurance

London, United Kingdom
Avencia Consulting Services
Delegated Authority partnerships allow MGAs, brokers and entrepreneurs to develop bespoke insurance solutions, that are localised, business ready and catered to niche markets. Our Portfolio Management team designs, develops, and embeds performance and monitoring tools in the Underwriting teams, working with stakeholders throughout the business to create a … solution suitable for everyone's needs. The role To provide support to the business on behalf of the DA division. To support the DA Portfolio Analyst to provide a suite of data services and portfolio management information. To meet regulatory, Home Office and stakeholder requirements for data … required. Adhere to all Local and Group guidelines. Ensure timely collection of data and escalation to the relevant Underwriter/Manager if necessary. Assist Portfolio Analyst in review of collated data to understand portfolio dynamics/observed breach &/or outliers against Underwriting appetite. Skills and Experience Relevant more »
Employment Type: Permanent
Posted:

Portfolio Manager, Credit

Greater London, England, United Kingdom
Confidential
growth within global fixed income and credit markets. As part of these expansion plans, a key hire will be for a senior credit portfolio manager in London. this role will focus on the ongoing build of both a European and global credit platform across liquid credit - investment grade, crossover … and high yield (bonds, CDS, etc.). The ideal candidate will be able to demonstrate significant credit portfolio management within European fixed income, and must possess appropriate L/S strategy experience, alongside a proven track record of exceptional risk management, portfolio construction and fundamental credit … analysis. The successful candidate will join an international leader within the FICC markets, and will benefit from fantastic management support and a platform well-suited to credit trading and investment. more »
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Associate Director - Major Projects Data & Insights, Infrastructure Advisory

London Area, United Kingdom
Cambridge Credentials
transformations, working across projects, programmes and portfolios. As trusted advisors, they support their clients across a broad range of areas in project and programme management, portfolio management, commercial and procurement, construction, ESG and technology. Capital projects consistently underperform in terms of budget, schedule, and value. Stakeholders often … with third party providers to develop an ecosystem of solutions for client issues. Interpret and challenge systems and systems architecture. Develop value-led information management structures and transparent decision. Experience, Skills, and Qualifications Essential Experience in managing consultancy or client facing assignments. Experience working with data, analytics, and intelligent … insights in an infrastructure/capital project environment to deliver business benefits. Experience advising clients plan, develop and deploying meaningful information management strategies, including Common Data Environments. Enough understanding of the infrastructure environment to be able to relevantly apply digital insights and capabilities. Experience of working with complex information more »
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G7 Resource Manager

South West London, London, United Kingdom
Peregrine
best talent for our clients. As a permanent employee of Peregrine, with access to all our standard benefits, you will be deployed across our portfolio of clients as a specialist consultant, working on a wide array of complex projects across multiple industries. The Role: PPD requires strategic workforce planning … capability is a critical workstream within the pilot. The workstream will be managed by the Head of Project Delivery Capacity and Resourcing within the Portfolio and Project Delivery (PPD) directorate, which comprises Portfolio Management, the Project Delivery Centre of Excellence, our Project Delivery Profession function and the … Rapid Response Team. PPDs role is to ensure that the Home Office Change Portfolio remains optimised, balanced and prioritised so that it contributes to maximum value delivery of the Home Offices objectives as well the continual improvement of the departments project delivery capacity and capability. Responsibilities: Working with stakeholders more »
Employment Type: Permanent
Salary: £60,000
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Fixed Income Risk Manager

London Area, United Kingdom
Selby Jennings
operations across the risk function incl. Validating margin methodologies, limits setting, Reports/investor reports and analysis of fund performance. Work closely with the portfolio management team, quant researchers, and senior risk managers to add necessary insights to the portfolio construction and asset allocation process Provide insight … regarding drivers of risk movements to senior management and portfolio managers. Work directly with portfolio managers, help understand how they view risk, the strategies and how best to risk manage the portfolios. Work strategically to further develop the risk management framework and policy and to create … working within a Market Risk or Investment Risk role overlooking hedge fund strategies. Strong knowledge of Fixed Income/Rates. Python experience is advantageous. Portfolio construction experience. Excellent communication skills, with the ability to interact effectively with researchers, technologists, PMs, and senior managers more »
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Project Delivery Manager

London
Hybrid / WFH Options
Nexus Jobs Limited
The Corp business and IT projects through the design, build, testing, acceptance, commissioning and handover lifecycle. Lead essential projects, managing the Corp IT project portfolio to share interdependencies and recommending trade-offs and phasing to manage competing resourcing and budget demands. Manage project gate reviews with the Head of … each project has a robust business case, controls and delivery plan. Define and maintain standards for successful execution including documentation and metrics related to portfolio, programme, and project management. Manage project performance via objectives and key results (OKRs), monthly reviews with project sponsors. Initiate communication and improvement activities to … ensure maximum alignment of The Corp Functions and IT priorities. Perform risk management and mitigation - evaluating data to prevent project problems and intervening to resolve issues where required. Manage staff within the project management team - coaching individuals in adopting improved project and portfolio management disciplines, fostering more »
Employment Type: Permanent
Salary: £75,000 - £100,000
Posted:

Head of Asset Management

City of London, London, United Kingdom
Hybrid / WFH Options
Home Group Limited
Head of Asset Management Hybrid working; Based at our office either at or Liverpool Street, London or One Strawberry Lane, Newcastle upon Tyne (depending on your base), with home working and regular travel across our national property portfolio Permanent, full time (37.5 hpw) Circa … including Health Cash Plan Home, a place where you belong We have a fantastic opportunity for you to join us as Head of Asset Management and supercharge performance across our national property portfolio. Leading our Asset Management team and working closely with our Regional Directors of Customers and … Communities, you?ll deliver our strategic asset management plan, driving strong performance of our assets. You?ll ensure our portfolio is safe, sustainable and meets the needs of our customers, delivering on our Customer Promise. You?ll determine our asset investment plans and the careful timing of our more »
Employment Type: Permanent, Work From Home
Salary: £85,000
Posted:

Crypto Options Trader

London Area, United Kingdom
Understanding Recruitment
analysis and trading strategies. Market Analysis: Monitor cryptocurrency market trends, news, and developments to identify trading opportunities and risks associated with options trading. Risk Management: Implement risk management strategies to mitigate potential losses, including position sizing, setting stop-loss orders, and managing portfolio volatility. Strategy Development: Develop … and arbitrage opportunities. Trade Execution: Execute trades efficiently and accurately, ensuring timely order placement and execution in accordance with trading strategies and risk parameters. Portfolio Management: Monitor and manage options positions, including portfolio rebalancing, assessing profit and loss, and optimizing portfolio performance. Collaboration: Collaborate with research … stay informed about market trends. Reporting: Prepare regular reports on trading performance, including profit and loss analysis, risk metrics, and key insights for senior management and stakeholders. You will be expected to cover weekends, evenings, and US time zones, as crypto markets are 24/7. Do not apply more »
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Head of Engineering

London Area, United Kingdom
Eames Consulting
Head of Engineering Eames Consulting are excited to be working alongside a prestigious asset management firm based in London. They are seeking an experienced Head of Engineering to lead their technology initiatives and drive innovation. The ideal candidate will have a proven track record of building and managing high … performing engineering teams, as well as a deep understanding of financial markets and investment management processes. Key Responsibilities: Provide strategic leadership and direction for the engineering team, aligning technology initiatives with business objectives and driving innovation to enhance our competitive advantage. Build and mentor a team of talented software … professionals, fostering a culture of collaboration, innovation, and continuous learning. Lead the design, development, and implementation of cutting-edge technology solutions to support asset management functions, including portfolio management, risk analysis, trading, and compliance. Collaborate with cross-functional teams, including investment professionals, risk management, operations, and more »
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Analytics Consultant

Greater London, England, United Kingdom
Hybrid / WFH Options
MSCI Inc
sales team to provide expertise in client engagements and pre-sales activities. Successful candidates will have a thorough knowledge of market risk measurement and management, pricing of asset types (including equity, fixed income, commodities, and derivatives), highly quantitative skills and an ability to guide institutional clients to better use … hold advanced client trainings/workshops; present in seminars Specific Knowledge/Skills Very strong analytical skills in regard to simulation techniques for risk management, factor modelling, portfolio management and performance attribution; experience with Barra or RiskMetrics models and software a plus. Deep understanding of global financial … equities, commodities, and credit markets and their derivatives Knowledge of the main European regulatory frameworks for asset managers and banks Superior communication and time management skills. Desired Experience Previous experience in risk management/quantitative finance, working closely with investment decision making teams. Desired Qualifications MSc required ideally more »
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Proposition and Solution Consultant

London Area, United Kingdom
Hybrid / WFH Options
SS&C Technologies
offering(s) for Investment Managed Wealth which will require working closely with internal and external stakeholders, including and not limited to product owners, change management and delivery. Candidate is expected to bring a solid domain knowledge of the wealth management functional processes and industry knowledge to the role … identifying propositions that meet them. You will report into the Proposition and solution consultant lead. Responsibilities To keep domain knowledge up to date across: management end to end functions. products change trends competitors and associated products To support Wealth Proposition(s) leads in: Innovating in identifying and defining new … Experience, Skills & Qualifications of Wealth market place to end wealth functional knowledge covering - Onboarding/Offboarding, Money in/out, Transfers In/Out, Portfolio Management, Order Management, Trading and settlement, Corporate actions, Dividends, Capital Gain Tax, Regulatory Reporting and client communications product knowledge; General investment accounts more »
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Portfolio Manager, Thematic Equities

London, England, United Kingdom
Hybrid / WFH Options
AXA Funds Management
Portfolio Manager, Thematic Equities 22 Bishopsgate, London – Hybrid Permanent At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our … clients, our people and the world to prosper. As a future Portfolio Manager, Thematic Equities, you will report to Head of Global Thematic Strategies, and you will be part of AXA IM Core. DISCOVER your opportunity The AXA IM Equities Thematic investment team is well recognised as one of … be involved in managing a fund or multiple funds focussed on Global Thematic Equities. You will take a leading role in building assets under management with the responsibility of increasing the fund profile internally and externally. You will work as part of a truly collaborative team where your thematic more »
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Project Manager

Greater London, England, United Kingdom
Morgan McKinley
Business Transformation PM's into the newly created PMO. ROLE This role is responsible for the delivery of strategic business change projects with matrix-management responsibility of project resources and third-party suppliers as appropriate. The project manager will work with sponsors and stakeholders across a range of areas … within the firm to clearly define and deliver projects that bring maximum return on investment to the firm. TEAM The Portfolio Management Office (PMO) is a global function that is responsible for the firm-wide governance and delivery of programs and projects, working closely with other business services … functions. The PMO portfolio of work is broad and includes business and digital transformation, process improvements and technology implementations often working with a third-party supplier or solution provider. KEY RESPONSIBILITIES Support the definition of the business case with the business sponsor and other key stakeholders, and create project more »
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Senior Support Engineer | Investment Management

London, England, United Kingdom
Legal & General
We are Legal & General Investment Management (LGIM), the asset-management arm of Legal & General Group. Our purpose is to create a better future through responsible investing. We strive to achieve this through a strong sense of partnership with our clients, working together to achieve positive long-term outcomes. … Description We’re recruiting for a a brilliant problem-solving software engineer to work on maintenance and small change around our largest Front Office Portfolio Management System; one in the Solutions space that is responsible for around £750B worth of AUM. The main technology stack used is C# …/.NET. SQL (SQL Server & PostgreSQL). Recent versions of Angular. Kafka, Git, Visual Studio would be beneficial. Should be familiar with an issue management system like JIRA and Confluence. Knowledge of container platforms (Docker/Kubernetes/Openshift/Fargate) and AWS native cloud services useful. Expert level more »
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Attribution Analyst Fixed Income Asset Manager Buy Side London

London, United Kingdom
Joseph Harry Ltd
Attribution Analyst (Fixed Income Product Owner Manager Attribution Bonds Credit Rates Bloomberg PORT GRM Front Office Trading Risk SQL Python Asset Manager Investment Management Asset Manager Finance Financial Services Buy Side Hedge Fund) required by our asset management client in London. You MUST have the following: An excellent … Income attribution and attribution strategies A good understanding or PORT and therefore the GRM Strong experience working with Front Office stack holders such as portfolio managers, risk and credit analysts The following is DESIRABLE, not essential: Experience working with in-house built Fixed Income attribution systems SQL and Python … Role: Attribution Analyst (Fixed Income Product Owner Manager Attribution Bonds Credit Rates Bloomberg PORT GRM Front Office Trading Risk SQL Python Asset Manager Investment Management Asset Manager Finance Financial Services Buy Side Hedge Fund) required by our asset management client in London. You will join a team of more »
Employment Type: Permanent
Salary: GBP Annual
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Senior Portfolio Manager / Portfolio Manager, L/S Equities, Global US Hedge Fund, London

London Area, United Kingdom
Delta Executive Search
been growing rapidly over the last few years, is looking to continue its upwards trajectory with the addition of experienced long/short equities Portfolio Managers. The ideal candidate will be a sector specialist running a book which is market neutral or has a low net exposure, with a … minimum of 2 years portfolio management experience. Requirements: 2+ years verifiable track record with positive PnL & Sharpe Running a market neutral/low net book Expertise in one sector is preferred Based out of London or Dubai more »
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Product Risk Manager , Investment Compliance , Private Bank

City of London, London, United Kingdom
JJ Search Ltd
is an established Private Bank that operates on a global level. The Role The Product Risk Manager will work closely with the Front Office Portfolio Management team acting as part of the First Line of Defence, ensuring appropriate Investment and Regulatory compliance across Investment Products and Portfolios, andconstructing … and maintaining relationships with important stakeholders to achieve this. The Product Risk Manager will require Wealth Management or Private Banking product knowledge and will confidently be able to provideconstructive challenge to the business, governance committees, and second line of defence. The Product Risk Manager is responsible for investigating and … well as representing the UK in regulatory change projects. The Product Risk Manager will carry out controls keeping in line with the Private Banks management framework. The Product Risk Manager is to develop realistic recommendations to address any issues, working alongside compliance and other business-related areas ensuring all more »
Employment Type: Permanent
Salary: £70,000
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Product Risk Manager , Investment Compliance , First Line of Defence , Private Bank

London Area, United Kingdom
JJ SEARCH LIMITED
is an established Private Bank that operates on a global level. The Role The Product Risk Manager will work closely with the Front Office Portfolio Management team acting as part of the First Line of Defence, ensuring appropriate Investment and Regulatory compliance across Investment Products and Portfolios, and … constructing and maintaining relationships with important stakeholders to achieve this. The Product Risk Manager will require Wealth Management or Private Banking product knowledge and will confidently be able to provide constructive challenge to the business, governance committees, and second line of defence. The Product Risk Manager is responsible for … as representing the UK in regulatory change projects. The Product Risk Manager will carry out controls keeping in line with the Private Bank’s management framework. The Product Risk Manager is to develop realistic recommendations to address any issues, working alongside compliance and other business-related areas ensuring all more »
Posted:
Portfolio Management
London
10th Percentile
£43,140
25th Percentile
£65,000
Median
£85,000
75th Percentile
£110,000
90th Percentile
£130,000