Permanent Portfolio Management Jobs in London

1 to 25 of 90 Permanent Portfolio Management Jobs in London

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
Posted:

Portfolio Manager

London, United Kingdom
London and Quadrant Housing Trust
Title: Portfolio Manager Contract Type: Permanent Location: West Ham Lane, Stratford or Sale Point, Manchester *Our Sale Point office will be relocating to Old Trafford, Manchester in Spring 2025 Persona: Agile, Office based 20-40% Salary: Inside London starting from £55,000 pa dependant on experience and location Outside … applicants need not apply*** Role Profile.docx We are looking for a senior-level, experienced, and capable colleague to work within L&Q's Corporate Portfolio Management Office, part of L&Q's Governance and Transformation Executive Directorate. They will join an agile, high-performing, and values-driven team … extremely competent at communication and engagement, and able to develop colleagues and teams to their full potential . They will be responsible for : Support portfolio management activity across the Group related to our Transformation Programme, Change Projects, and Business Plans. Support and influence activity across the Group that more »
Employment Type: Part Time
Posted:

Portfolio Manager: Renewable Investment Platform

London Area, United Kingdom
Mint Selection
Portfolio Manager - Renewable Energy Investment Platform Location: London Mint Selection is partnered with a highly successful renewable energy company specialising in the investment, development, and operation of renewable energy generation assets across the UK and Europe. The company has ambitious growth plans, an established culture and excellent financial backing … allowing it to grow its 1GW portfolio to 4GW by 2030. The company is seeking a motivated Portfolio Manager responsible for managing the revenue and risk of their asset-backed portfolio, leading on new off-take agreements, RTM assessments, portfolio optimising and long-term strategy. Portfolio Management – Reviewing portfolio and exposure and implementing robust risk management processes, staying abreast with energy market changes and portfolio exposure PPA/Off-take - Support the BD team in originating and tendering of PPA/Off-take agreements and assessing new value-add opportunities Route more »
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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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Quantitative Analyst

London, England, United Kingdom
Legal & General
The world of investment is changing. Our vision at Legal & General Investment Management is to create a better, more sustainable future through responsible investing. We work in partnership with our clients around the globe to deliver positive long-term outcomes, while rising to the challenges of a rapidly changing … development and new asset classes Contributingto the development of quantitative fixed income models and associated governance framework to support investment, risk, attribution and pricing portfolio construction Working with the portfolio management to deliver robust, relevant and scalable analytical solutions Buildingintellectual capital by performing strategic research and analysis … IT systems projects and business process projects that affect the team and related business areas Ensuringeffective utilisation of enhanced data, analytical, risk engine and portfolio management capabilities Collaboratingwith associated teams (e.g. collateral management/margining; derivative pricing) to ensure new operational/business processes are implemented in more »
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Project Finance, Portfolio Management, Analyst

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
of the largest—and growing—banks in the world. What is the opportunity? We are currently recruiting for an analyst to join Project Finance Portfolio Management team within the European Structured Finance Division in Mizuho bank. Our Project Finance Portfolio Management team is responsible for credit … risk management and administration activities for a diverse portfolio of transactions in the renewable energy, power, natural resources and infrastructure/PPP sectors. This role will involve high quality administrative work across the portfolio with a view to supporting other team members and the Department Head with … their day to day duties. This role will also deliver internal project work on strategic initiatives for the team including but not limited to management information processing and process streamlining initiatives as required by the Department Head. What will you be doing? 1. Maintaining overall portfolio database identifying 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
Posted:

Financial Controller – Private Debt – CRE (Loan Asset Management)

London, United Kingdom
Hybrid / WFH Options
AXA Group
Financial Controller – Private Debt – CRE (Loan Asset Management) - 2 Positions Available 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 … FMCG Private Debt, and you will be part of AXA IM Real Assets.DISCOVER your opportunityAXA Investment Managers (AXA IM) is a multi-expert asset management company within the AXA Group, a global leader in financial protection and wealth management. AXA IM is one of the largest European-based asset … managers with approximately 830bn in assets under management as of the end of September 2020. AXA IM employs 750+ investment professionals around the world and operates out of 15 investment centers.Given its growth prospects, the Commercial Real Estate & Infrastructure Fund Management Controlling Group team of AXA IM – Real more »
Salary: £ 70 K
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Associate Director - Project Controls

London, United Kingdom
Mace group
the development and implementation of a digitally enabled PMO function to provide a controlled projects environment for the planning, implementation, and delivery of a portfolio wide decarbonisation programme.We require an experienced and pragmatic PMO lead capable of establishing a digitally enabled PMO, capable of supporting an industry leading decarbonisation … programme that will transform the client’s portfolio. The successful applicant will be accountable for the setup and application of effective Governance, Reporting, Information Management, Risk and Opportunity and Planning across the programme.This is an unprecedented programme of works and therefore the successful applicant will need to be capable … and application of effective PMO methods, techniques and tools across a large UK wide decarbonisation programme – including (but not limited to) Governance, Reporting, Information Management, Risk and Opportunity and Planning.Lead and manage a team of PMO professionals to deliver the above requirements, whilst guiding and upskilling individuals from the more »
Salary: £ 70 K
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Enterprise Programme Manager - Banking (R-15671)

London, United Kingdom
Dun & Bradstreet
have with a successful history in Global Banking and Financial Services, delivering large and complex transformation programmes, specialised in implementing effective governance and risk management practices. The candidate should have extensive experience of managing large and blended teams split across different countries and time zones. Excellent communication and executive … stakeholder management skills and passionate about client success.The candidate should have expertise industry expertise, particularly in data & analytics, risk and regulatory compliance, delivering large scale transformational change spanning technology design/implementation, business process & operating model re-engineering and regulatory change across capital markets and retail banking.As an Enterprise … You will be working within the enterprise account team and closely with a number of functional teams, including the Account Director, customer success, project management, product management and Subject Matter Experts amongst others.Responsibilities Lead all internal and external cadences in relation to all matters related to the services more »
Salary: £ 70 K
Posted:

Chief Investment Officer (CIO) - Decarbonization Fund

Greater London, England, United Kingdom
Hybrid / WFH Options
SR Energy
transmission and microgrids. Role Description This is a full-time hybrid role for a Chief Investment Officer (CIO) in our Energy Decarbonization Fund with portfolio covering Smart renewables utility supplying traceable energy products SaaS AI energy developer providing unique products to network operators, distributors and suppliers Specialist energy trader … ozone-safe gas R290 Non-intermittent geothermal renewable generation and distribution network As a CIO, you will be responsible for managing investment strategies, investment management, finance, and portfolio management in the renewable energy industry. The role is located in Greater London, with flexibility for some remote work. … Develop and implement a comprehensive investment strategy to raise £300M for portfolio of decarbonisation initiatives Identify and engage with potential investors, including corporate and merchant banks, venture capitalists, private equity firms, and institutional investors Build and maintain strong relationships with stakeholders, including investors, partners, and business leaders Prepare and 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:

Team Assistant

London, United Kingdom
Confidential
degree-educated individuals to join an innovative finance firm in the heart of Central London./p p br/p p strong Position: Portfolio Management Team Assistant/strong strong Location: Central London/strong strong Salary: £28,000 - £30,000 and above/strong/p …/p p Ensure accurate preparation, completion, scanning, and filing of client documentation./p p Prepare meeting and presentation documents to showcase the portfolio offerings./p p br/p p strong Portfolio Management:/strong/p p Run valuations for clients quarterly./… with the Client Administration team for accurate loading and maintenance of client data./p p Communicate with clients and intermediaries, taking instructions on portfolio matters./p p Instruct payments on behalf of clients after verification checks and identity confirmation./p p br/p p strong more »
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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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Portfolio Management - Could lead into an Underwriting Role

London, England, United Kingdom
HFG Insurance Recruitment
We have partnered with a market leading Lloyd's/London market business in the search for a Portfolio Manager to drive profitability. This is a great opportunity to work within and Underwriting function and closely with senior management to promote performance. The role includes but is not … Provide insights, solutions and improvements across a wide range of business using data analysis and visualisation. Be heavily involved with the implementation of active portfolio management. Actively monitor key drivers of performance at both a class level and across the business as a whole. Support the wider business when … it comes to business planning and strategy. Work closely with underwriters, training them on portfolio management and ensure performance is strong. Covering a variety of specialty risks. This is a fantastic team with hugely exciting objectives to drive the underwriting teams forward. more »
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Consulting Director STG

London, United Kingdom
Aon
Do you want to play a key role in developing a new web-based pricing and portfolio management system for insurers, reinsurers and ILS funds?Do you want to be part of the dynamic Aon Tyche team that is redefining financial modelling for insurers and reinsurers?This is … the day will look likeAs a key member of our team, you will play a vital role in shaping a web-based pricing and portfolio management system for insurers, reinsurers and ILS funds.You will be one of the technical subject matter experts for the model and lead members … through efficient and performant solutions.Model requirements and design. Staying ahead of market developments and gathering client business requirements to feed into the Catastrophe Pricing & Portfolio model design.Team Leadership: Leading a team of model developers, with a focus on promoting understanding, ownership, and career development. Embracing a diverse and inclusive more »
Salary: £ 70 K
Posted:

Quantitative Credit Role - U.S. Buyout Fund

Greater London, England, United Kingdom
Arkesden Partners
decisions and post acquisition of credit portfolios. Dissecting the portfolios through statistical analysis to assess revenue streams, risk identification, adjusting payment structures within the portfolio blocks and ongoing regular monitoring of that performance to pre determined tolerances. You would be looking to achieve ongoing optimisation and monitoring. Background of … institution Advanced statistical modelling skills that can achieve optimisation, multi dimensional regression along with having data set modelling skills for ongoing valuation and performance Portfolio management experience within the Credit environment Experience of large cap credit portfolio work. It is important you can analyse larger data sets … team Ownership of deals. This person will follow investments from DD stage through IC stage and then take on the responsibility of medium term portfolio management responsible for setting and securing performance metrics for credit performance Working on large cap transactions that are industry leading and defining and more »
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eFront Technical Analyst

London, United Kingdom
Michael Page International
institution in central LondonHybrid working operating modelAbout Our ClientOur client is a financial institutionJob DescriptionResponsibilitiesAs a eFront Analyst, you will bring your experience in portfolio management systems to the company and your core responsibilities include:Handling escalated issues relating to applications or services through to resolution.Deliver training of … processes.The Successful ApplicantThe candidate - Background, skills, aptitudeMust have suitable experience developing, supporting and administrating business applications in the financial services industry, eFront or other portfolio management systemsDemonstratable ability to liaise with stakeholders at all levels to develop requirements to develop technical solutionsExperience of eFront is essentialSuitable experience of more »
Salary: £ 80 K
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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
Posted:

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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DG CIO - Monetary Policy & Financial Stability

London, United Kingdom
Bank of England
You will combine a strong technological understanding of both Monetary Policy and Financial Stability, with a deep knowledge of their business goals and priorities.Business management and service delivery• You will represent the Technology Directorate on matters of service, including addressing service issues within your DG area, in partnership with … with the local Executive Leadership Team into a strategic roadmap, ensuring consistency with the technology strategy and the Bank-wide target architecture and change management strategy.• You are accountable for effective challenge being applied both to business requirements and priorities from the DG area managers, and to the teams … are responsible for defining and driving technology change in line with the DG area’s strategic roadmap, and in coordination with the Technology Directorate.Financial management for DG-specific cross-charging and investments• You are accountable for effective financial management of the Technology change portfolio and architecture for more »
Salary: £ 70 K
Posted:

Portfolio Manager

London Area, United Kingdom
Hybrid / WFH Options
KDR Talent Solutions
Portfolio Manager | up to £57,000 + package | London/Home working Come work for one of the UK's leading Social Housing Associations, tackling complex social issues and undergoing a period of significant change. What you'll be doing You as the Portfolio Manager will: Manage portfolio reporting, providing regular and insightful updates across the portfolio of change and transformation projects/programmes Embed project and programme frameworks to ensure consistency and efficiency in ways of working Lead on gap analysis across the Transformation and Change portfolio supporting the corporate strategy. Lead and facilitate … Opportunity to work for a business undergoing significant change 🎇 Work for a business that has a strong social purpose The skills you'll need 📊 Portfolio Management experience as either an Analyst or Manager 📊 Project & Programme Assurance experience 📊 Ability to use data & insights to shape change 📊 Very strong communication more »
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Fixed Income Operations, Credit Hedge Fund

London Area, United Kingdom
Hays
up hedge fund. This multifaceted standalone role will oversee all operational aspects for the firm such as trade execution oversight and settlement, operational risk management, cash management & liquidity monitoring, fund performance reporting and monitoring, fund accounting oversight, vendor oversight, developing Prime Broker relationships, as well as process documentation. … requirements for the FCA, SEC, and CFTC, along with compliance frameworks applicable to hedge funds. Additionally, you will be proficient in trade execution platforms, portfolio management systems, and risk management tools such as Bloomberg and MSCI RiskMetrics. To be considered, candidates must have an accountancy qualification or … will bring 5+ years fixed income operations experience focused on credit instruments, derivatives, and financial markets, preferably gained in a hedge fund or asset management firm. Experience of working with Prime Brokers and a strong knowledge of Cayman fund structures is also required. It’s worth noting that you more »
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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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Portfolio Manager - Global Healthcare/Generalist

London Area, United Kingdom
Berkeley Croft
We are working with an expanding asset management house with a great reputation, headquartered in London, to hire a Portfolio Manager/Senior Equity Analyst to cover long only global stocks. Our client has a long-term investment horizon with a detailed bottom up, fundamental research to research … within medical technology and life sciences. The second part of their remit will be to contribute to managing portfolios as part of the senior management team, taking responsibility for portfolio construction and risk management. Please note, this is not a named PM role. As well as the healthcare … come up with suggestions for companies across other sectors that fit in with the investment philosophy, while also looking at names already in the portfolio that could be a risk. We would ask that applicants possess: 10+ years' experience in equity research and portfolio management Experience of more »
Posted:
Portfolio Management
London
10th Percentile
£44,475
25th Percentile
£65,000
Median
£85,000
75th Percentile
£110,000
90th Percentile
£130,000