Portfolio Management Jobs in England

26 to 50 of 139 Portfolio Management Jobs in England

SaaS Technical Lead

Hove, England, United Kingdom
Legal & General
growth and strategic direction for SaaS Services. The SaaS Capability Lead will provide technical leadership, guidance, and expertise in the configuration, deployment, standardisation and management of SaaS based technologies and services. The SaaS Capability Lead will work closely with Group Technology, Architecture, Portfolio and Product Management teams … Act as a mentor and coach to the team members, providing guidance on technical skills, career development and personal growth. Accountable for individual performance management in collaboration with Portfolio, Architecture and Product Managers. Leading and ensuring the technical excellence of the SaaS Capability by staying updated with industry … taking place within the capability such as Patching, Upgrades, Projects, Change and Critical Change Freeze periods working in strong collaboration with the Group Technology, Portfolio, Product Managers and Architecture Team. Contributing to the IT delivery sourcing strategy that both complements and supplements the internal IT Solutions team considering skills more »
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Senior Category Manager

Windsor, England, United Kingdom
Technical Network Recruitment Ltd
strategies, pioneering innovative commercial arrangements. Key Responsibilities: Strategic Leadership: Take the helm in the procurement process, infusing a strategic and innovative approach to category management that forms the backbone of our commercial endeavours. Supplier Portfolio Management: Oversee a diverse portfolio of suppliers, ensuring contractual obligations are … suppliers for the organisation. Proficiency in engagement, enabling effective support, influence, and constructive challenge of stakeholders to optimise commercial outcomes. Sound grasp of Category Management principles, evidenced by a history of successful outcomes across diverse category domains, coupled with the cultivation of robust supplier and stakeholder relationships. Capacity to … insights on all facets of supply market dynamics, regulatory and internal frameworks, suppliers, and technological advancements. Aptitude for market insights, trends, opportunities, and risks. Management expertise in categories circa £100 million, bearing significant strategic risk to the organisation. Experience in negotiating with suppliers on all commercial and contractual matters 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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Fixed Income Portfolio Manager

Wolverhampton, England, United Kingdom
Hybrid / WFH Options
LGPS Central
Portfolio Manager - Fixed Income Salary - Competitive + Benefits Based in the Midlands - Hybrid Working We are currently looking for a highly skilled and experienced Fixed Income Portfolio Manager to join the Fixed Income Investments team where you will play a critical role in shaping and executing our investment … highly motivated and results-driven professional with a passion for Fixed Income strategies, we invite you to apply for this exciting opportunity. Key Responsibilities: Management of designated sub-funds/investment mandates ensuring that portfolios adhere to all regulatory, investment and risk parameters. Document and ensure that you meet … West Midlands Pension Fund Worcestershire Pension Fund. LGPS Central is owned equally by all eight of its Partner Funds and is dedicated to the management of local government pension assets. LGPS Central manages assets across public and private markets both internally and through externally appointed investment managers. The Company more »
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Senior Commercial Portfolio & Customer Journey Analyst

Abingdon-On-Thames, England, United Kingdom
Conrad Energy
Senior Commercial Portfolio & Customer Journey Analyst The Senior Commercial Portfolio & Customer Journey Analyst will be pivotal in ensuring timely and accurate invoicing, settlement tasks, and data management for our electricity portfolio. Reporting to the Head of Energy Services this position is responsible for ensuring accurate settlement of … give us a unique edge when trading and maximising our own assets and those of our clients. We have built not only an impressive portfolio of energy assets, but also a seriously ambitious and knowledgeable team. What you’ll be doing Billing & Settlements Accurately and promptly execute invoicing and … reconciliation of payments. ROCs and REGOs Settle external ROC and REGOs trades in accordance with contracted terms Provide support for ROC/REGO inventory management, customer allocation, reporting and any customer queries. Customer Journey Enhancement Revamp the invoice presentation to enhance readability, brand alignment, and overall customer satisfaction. Collaborate more »
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PMO Reporting & Masterdata Analyst

Nottingham, England, United Kingdom
Boots UK
their projects, programmes and portfolios effectively and efficiently. This role is accountable for the creation, maintenance and improvement of Masterdata records in our project management tool, KeyedIn, which is the single source of truth on the status of all IT2A projects. Responsibilities: Capture, sort, improve and analyse project data … gaps, discrepancies or anomalies with delivery stakeholders. Collaborate with stakeholders to define and observe data governance policies Produce and review KeyedIn reports to aid management of the IT2A project portfolio and support decision making Support project delivery teams with queries on KeyedIn data Work with offshore PMO resource … ensure Masterdata changes are compliant with required controls Propose solutions to enhance project data quality and efficiency Identify process optimization related to project data management Support the wider PMO and assurance teams in promoting and embedding project, programme and portfolio management best practice What you’ll need more »
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Portfolio Asset Manager - Telecoms Property

Reading, England, United Kingdom
Project People
Portfolio Asset Manager/Asset Delivery Manager- Mobile Telecoms -Permanent Reading or North West - 2-3 day/week in offices Role Purpose: To manage, develop and promote strategic relationships with multi-site portfolio owners and the owners of the key property portfolios including but not limited to … and the benefits of connectivity and the Code. Essential requirements: Functional knowledge gained from working in a mobile network environment Experience of telecoms asset management and/or site portfolio management is preferred. Extensive experience of delivering material volumes of sites against agreed targets Considerable experience of more »
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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 »
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File Review Officer

London Area, United Kingdom
Hybrid / WFH Options
Raymond James Investment Services
Who we are? Raymond James is a wealth management firm focused on providing trusted advice and tailored, personalised investment services. We believe if we do what’s right for clients, we’ll help them achieve success while also realising our own. Our parent company, Raymond James Financial, has been … to ensure document accuracy and compliance with organisational standards Responsibilities The primary responsibility is to conduct client file reviews for Financial Planning and Discretionary Management for both new and existing business according to agreed plan. Utilise information from Supervision and Compliance monitoring in relation to portfolio management … and AML to assist in reviews Document review findings appropriately for feedback to Branch Principals and inclusion in audit reports. Create and maintain appropriate management information for distribution to management and committees. Create, maintain and update policies and procedures for reviewing and monitoring file reviews. Assist in providing more »
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Regulatory Affairs Manager - EU

Wooburn Green, England, United Kingdom
Ethypharm
this role. The primary objective is to effectively fulfil MAH responsibilities for ESAS and other Ethypharm group entities concerning the UK portfolio. Key responsibilities Portfolio Management : Specialise in managing regulatory affairs for EU products within Ethypharm portfolio, ensuring adherence to relevant regulations and standards. Gap Analysis : Conduct … Marketing Authorisation applications in the EU through various routes including National, Mutual Recognition, and Decentralised Procedures. Geographical Expansion : Drive the expansion of our current portfolio into other EU markets by navigating regulatory requirements and compliance standards. RA Support for New Product Development : Provide regulatory guidance and support to the … activities, ensuring smooth integration of acquired products into our portfolio. MA Compliance Maintenance : Ensure ongoing compliance and maintenance of Marketing Authorisations for the assigned portfolio of In-house manufacturing and Contract Manufacturing Organisations and oversee compliance for the team. Safety Variations: Ensure safety variations e.g. updating in line with more »
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Index Fund Manager - Bonds

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. … inclusivity anchors our behaviours. Job Description We're looking for anIndex Fixed IncomeFund Manager to join our successful Index team at Legaland General Investment Management (LGIM) focusing on delivering rules-based solutions designed for our clients As a fund manager within the Index team you'll be responsible for … Analysing and implementing decisions on index changes and any resulting rebalancing of funds, cash flows and corporate actions Analysing portfolios for transfers and transition management Producing and delivering investment reports on the funds controlled, including reporting on tracking error and performance attribution Working with other Fund Managers to deliver more »
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TMT Finance VP- H/F/X

London, England, United Kingdom
Société Générale
key point-person on transactions · Execution/Structuring o Leading the internal credit workstream (credit memo etc) and external execution materials workstream (info memos, management presentations etc) o Overseeing the creation of the financial model, on the basis of which the financing structure is defined (amount, facility type, tenor … M&A, and derivatives teams o Interacting with external parties, such as private equity and infrastructure clients, advisors, lawyers, accountants, rating agencies and consultants · Portfolio management o Assist the team with managing the portfolio of borrowers and clients o Work on restructuring/refinancing processes as the … o Training of associates, analysts and interns, and reviewing of their work o Ensuring the team consistently meets excellent standards with respect to operational management, communications and governance Profile required Experience/Competencies Required · Prior work experience executing LBOs and or infrastructure financing transactions (focus on quality of deals more »
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Senior Programme Manager, Medtech & Digital Healthcare Innovations

Twickenham, England, United Kingdom
LGC
dynamic team environment? Would you like to engage with multiple stakeholders across industry, academia and the NHS? The Innovations team within the LGC Grant Management Group is looking for two Senior Programme Managers who are passionate about innovation, entrepreneurship and thrive in a busy environment. Company Description The Innovations … of a number of new activities and funding calls aimed at expanding the NIHR offer to industry and its engagement with investors, manage a portfolio of exciting projects led by small and medium enterprises, academia and NHS Trusts. Develop close relationships with innovators and entrepreneurs, drive the collection of … aspects of translational funding, including scoping potential call themes Support Programme Leads, Assistant Directors and the Head of Business Development Due diligence, contracting and portfolio management Undertaking due diligence of funding proposals Negotiating funding agreements for projects r Managing a portfolio of projects at various stages of more »
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Climate Modelling Analyst

London Area, United Kingdom
Hybrid / WFH Options
ICE
with their net zero transition plans. Responsibilities Review and update emissions inference data methodology. Enhance methodologies and update analytics around climate scenario analysis and portfolio alignment. Enhance methodology and develop analytics around PCAF implementation and carbon foot-printing for different asset classes. Enhance methodology and update analytics around SBTi … science and sustainable finance and incorporate them into ICE products and services. Contribute to the development of new modules to enhance ICE climate transition portfolio management platform by conducting market intelligence and analysing the competitive landscape to define a unique offering for ICE. Knowledge and Experience Master’s more »
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Anti-Money Laundering Officer

London Area, United Kingdom
KFS Recruitment
where necessary reporting any suspicious activity to the National Crime Agency (NCA), Deputising for the BFLMLRO at Financial Crime Committee and/or Senior Management meetings, Assisting with the accurate production of management information (including but not limited to, weekly case load statistics, quarterly BFLMLRO reports and the … Annual BFLMLRO Report), Oversight of investor and funding line portfolio management, and Assisting the BFLMLRO in any ad-hoc projects or assignments as required. Role Requirements: At least 4 years of experience in AML/CTF & Sanctions compliance, within the financial services industry. Knowledge of relevant legislation and more »
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Quantitative Researcher

London Area, United Kingdom
Redwood Recruitment Specialists
Fund who is looking to grow our there high performing Research team. The role involves Research, Development and Execution of Systematic Strategies. Responsibilities: Support Portfolio Management team Implement, develop and evaluate quantitative trading models in the global equity markets Continuous improvement of trading models and modelling techniques Qualifications more »
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Paraplanner

Greater London, England, United Kingdom
Hybrid / WFH Options
Tate Recruitment
formulate asset allocation recommendations and write suitability reports. Key Responsibilities: Assess clients' financial situations to determine suitable asset allocation recommendations. Evaluate prospective client objectives, portfolio holdings, time-horizon, and cash flow needs. Review and formulate plans for clients with highly specialized situations. Evaluate existing pension and investment bond arrangements … Qualification – CII Regulated Diploma in Financial Planning or CISI Investment Advice Diploma preferable. 3+ years of financial services experience. Strong organisational and time-management skills. Quantitative in nature with an ability to work under pressure in a dynamic team environment. Exceptional understanding of portfolio management philosophies and more »
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Senior Python Cloud Engineer/Architect

Greater London, England, United Kingdom
Hedge Fund in NYC
and integrity of our software and cloud infrastructure as a key member of new Core Engineering team. Your primary responsibility will involve collaborating with portfolio management and technology teams, advocating for architecture standards, and implementing cloud best practices. You'll drive the evolution of our systems, oversee software more »
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Quantitative Researcher

Greater London, England, United Kingdom
Anson McCade
and developing profitable trading strategies. Regarding trajectory within the role, you will have the opportunity to transition into more of a risk taking/portfolio management role in the future. Remuneration is at the top end of the market. They are able to offer lucrative pay-outs to more »
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Investment Manager / VP - Growth Equity Fund

London Area, United Kingdom
Asset Partners
intellectual and business curiosity Growth mindset with a hunger for learning and drive to succeed Responsibilities will be a well-balanced including deal execution, portfolio management and an opportunity to participate in deal origination. Please follow the Asset Partners company page for other up-to-date opportunities if more »
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Senior Fixed Income Business Analyst - 12 months Fixed Term Contract

London Area, United Kingdom
Mayford James
the Program Managers, Program Director and business stakeholders of progress, and raise issues as soon as encountered. You will likely possess: · 10+ years Asset Management experience. · 5+ years proven Front Office Investment Management Fixed Income business analyst experience, successfully delivering projects. · Detailed working knowledge of fixed income instruments … and derivatives, including pricing, analytics, trading and uses in portfolio management. · Proven experience of working directly with investors in the asset management industry. · Experience of facilitating meetings with stakeholders to gather information, review and present findings and solve key issues. · Very good experience with Microsoft Project, Excel, PowerPoint … and SharePoint · Comfortable working with executive management Job ID MJ17042024 more »
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Fixed Income Program Manager

London Area, United Kingdom
Mayford James
the City are looking to hire a Fixed Income Program Manager professional. The role requires a detailed understanding of fixed income in an asset management firm, and proven experience off structuring, initiating, managing and delivering large complex change programs working in partnership with Technology and business departments from the … risks and issues, as appropriate, to the program stakeholders promptly. Develop the program charter, integrated program plan, resource plan, contingency plan, and related program management artifacts. Evaluate trade-offs between program size and complexity, cost, urgency, risk, and stakeholder value. Personal Attributes/Skills/Qualifications Required: 10+ years … Asset Management experience successfully delivering programs in the front office. 4+ years proven Asset Management project or program delivery experience in Fixed Income including delivery of cross functional change projects. Good working knowledge of fixed income instruments and processes including portfolio management. Proven experience of working directly more »
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Underwriter - Portfolio Solutions/Property Binder Underwriter

London, England, United Kingdom
Hybrid / WFH Options
The Travelers Companies, Inc
and where you do it. Target Openings 1 What Is the Opportunity? We’ve got big ambitions here at Travelers! We’re growing our Portfolio Solutions and Property Binders business and, to support that growth, we’re looking for an Underwriter to join the team. This isn’t your … role. You’ll be underwriting and processing new business, renewals and mid term adjustments, but you’ll also be responsible analysing data for our Portfolio Solutions and binders business. You’ll have excellent analytical skills and be able to use your previous underwriting or actuarial experience to understand the … What Will You Do? Analyse and review underwriting plans- liaising regularly between insurers, brokers and MGAs in the development of our underwriting strategy and portfolio management. Support the overall profitability, growth and retention of Portfolio Solutions and Property Binders and consistency of all related underwriting initiatives. Develop strong more »
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Systematic Credit Quant

London Area, United Kingdom
Rosehill Search
empirical analysis and back-testing to ensure model accuracy and reliability. - Collaborate with traders and risk managers to integrate models into trading and risk management systems. - Support regulatory compliance related to credit risk, such as Basel III/IV and IFRS 9. - Provide Quant analysis and insights for credit … portfolio management. **Requirements:** - Master's or Ph.D. in Finance, Mathematics, Statistics, Economics, or similar Quantitative field. - Proficiency in coding languages such as Python, R, MATLAB, and C++ for modeling and analysis. - Strong understanding of credit risk modeling concepts and methodologies. - Previous experience in Quant roles within banking or finance more »
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Execution Trader

London Area, United Kingdom
Ad Idem Consulting
ideas from dozens of top tier contributors. Build and manage relationships with discretionary traders; engage with the drivers behind ideas and best practice for portfolio management. Capture ideas, load into our proprietary alpha capture platform, and monitor the trade execution for the model. Understanding market microstructure, liquidity, and execution … channels. Apply risk checks to challenge contributors on their suggested portfolio adjustments. Candidate Attributes Proficient with Python and Excel. Strong interest in global equites and capital markets. more »
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Portfolio Management
England
10th Percentile
£41,000
25th Percentile
£42,500
Median
£65,000
75th Percentile
£92,500
90th Percentile
£115,000