Permanent Portfolio Management Jobs in London

1 to 25 of 79 Permanent Portfolio Management Jobs in London

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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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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Portfolio & Programme Manager

London Area, United Kingdom
Smiths Group plc
Maritime or Industrial Automation. You will be responsible for establishing and maintaining alignment with the PMO structure, governing and overseeing the health of all Portfolio/Program and Project Relationships and Performance within the Divisional Portfolios assigned. You will own a portfolio of highly visible transformation programs within … Party Delivery Vendors in successfully delivering Programs of varying complexity. Duties include: Leading a team of Project Managers, responsible for direct Line personnel performance management inclusive of evaluations and development plans to help evaluate and grow the talent pipeline within the PMO. Direct accountability in appropriately aligning Project/… Portfolio Management practices with PMO standards and structure. Regular audits and proper oversight applied. Accountable along with the Divisional Business Engagement to the Divisional Portfolio forecasts and tracking of overall spend to approved Budget. This includes monthly reviews of the Portfolio/Project financial trends, and more »
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E-Trade Portfolio Manager (Part-Time, Job-Share, Full-Time)

London, England, United Kingdom
Hybrid / WFH Options
Zurich Insurance
Remote The opportunity: Do you want to be part of a highly successful and innovative team? Do you have experience in pricing, underwriting or portfolio management within digitally traded Commercial markets? If so, we would love to hear from you! As voted by our brokers, we are recognised … as the number one SME Software House Insurer with ambitious growth targets to further capitalise on our position. As a Portfolio Manager, you will have a significant role to play in achieving our ambition, by supporting the underwriting and performance of our Digital SME portfolio. You will work as … time. Please talk to us at interview about the flexibility you may need. What will you be doing? The role of an E-Trade Portfolio Manager consists of these 4 main areas: Risk Selection: Support setting our risk appetite and ensure our digitally traded acceptance criteria are aligned to more »
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Underwriting Officer - Professional Indemnity

London, England, United Kingdom
Hybrid / WFH Options
The Travelers Companies, Inc
Professional Indemnity team based in London. This is a fantastic opportunity for someone with previous experience in a similar role, or who has some portfolio management responsibilities and is ready to take the next step in their career. As Underwriting Officer you will play a pivotal role in … training to underwriters on Professional Indemnity product features and underwriting/pricing techniques. In conjunction with the relevant business unit leaders provide oversight to portfolio management/strategic underwriting decisions to ensure production, financial and underwriting objectives with respect to profitability are achieved. Underwriting responsibilities include, but are … legal environment changes. Involved with building/maintaining customer and agent relationships. Participate in, prepare reports and present at Collaborative Underwriting Reviews (CUREs) and Portfolio Reviews. Participate in underwriting audits and in conjunction with the business unit leaders, is responsible for monitoring trends and ensuring that resultant action plans 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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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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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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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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Investment Risk Manager, Infrastructure Equity

London Area, United Kingdom
Hybrid / WFH Options
DWS Group
is your chance to invest in your future. Team/division overview: Risk is the independent risk oversight function of DWS, working closely with Portfolio Management, Trading and other support and control functions. The Chief Risk Office (CRO) within DWS is an independent function responsible for protecting the … role you will oversee market, counterparty, credit, and liquidity risks including ESG/sustainability risk factors. You will be instrumental in advancing the risk management framework while supporting growth initiatives within a focus region for the firm. Role Details: As a Senior Risk Manager you will (be): Perform risk … and valuation analyses on a range of illiquid assets with a focus on infrastructure equity Enhance risk management framework and develop risk indicators to identify, assess and monitor risk Conduct periodic portfolio reviews, policy update, procedure enhancement and risk reporting Contribute to the integration of Climate Risk and 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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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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Business Analyst / Senior Business Analyst – Investment Management / Asset Management

London Area, United Kingdom
psd group
Business Analyst/Senior Business Analyst – Investment Management/Asset Management - £90,000 to £110,000 per annum Our client is a Global Pension fund and Multi-Asset Institutional Investor. They are currently building out a small change team within their London office and are looking to recruit … articulation of business requirements for organisational change initiatives and lead on analysis related to the delivery of the organisational change portfolio. Projects within this portfolio will be driven by the fund’s rapid growth in London and New York. The role will provide in-house business analysis expertise in … Experience as a business analyst with responsibility for leading business analyst workstreams on medium to large sized projects. Experience of working in the asset management sector. Technology vendor implementation (SAAS). Knowledge of Portfolio Management/Trading/Investment capability set up and corresponding operational set up 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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Associate/Manager, Portfolio Insights & Analytics, Private Equity/Credit Fund, London

London Area, United Kingdom
Finatal
Associate/Manager, Portfolio Insights & Analytics, Private Equity/Credit Fund, London Attractive Salary Central London Ref: WW10829 The Opportunity: Finatal is working with a very sought-after private equity/credit fund that is looking for an enthusiastic and experienced individual to join the Portfolio Insights and … operating financial models for a range of different businesses, across different industries within private equity/private credit. The Role: The talented and experienced portfolio manager will take responsibility for managing and monitoring ongoing investments, with responsibilities including: Develop and maintain complex financial models to analyse investment performance and … actionable recommendations. Assist in the preparation of presentations and reports for internal stakeholders and investors. Stay current with industry trends and best practices in portfolio analytics and reporting. Requirements: 4-5 years of experience in financial analysis, portfolio management, or related field. An accounting or other financial more »
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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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Release Train Engineer

London Area, United Kingdom
Hybrid / WFH Options
Janus Henderson Investors
and dependencies across teams; provide input on resourcing to address critical bottlenecks; escalate and remove impediments Report planning results and epic status to senior management, business owners, epic owners, product owners and other stakeholders. Create, maintain and report high-level program/project and project management maturity, best … networking opportunities and social activities Must have skills RTE and/or SCRUM Master related experience using SAFe Agile delivery frameworks Business Program or portfolio management experience Experience managing virtual and global distributed teams Experience working in a matrixed environment SAFe RTE as well as other SAFe certifications … desired Demonstrated hands on leadership of large-scale process development/improvement initiatives Experience with and understanding of concepts of Organizational Change Management Power User of Jira or equivalent tooling Experience with Product Management tools beneficial more »
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Portfolio Monitoring Executive - Private Credit

London Area, United Kingdom
Carnegie Consulting
internal and external interaction with key stakeholders. As you’d expect, you will need to possess brilliant communication skills, both verbal and writte nThe Portfolio Management team is newly created and provides support to the growing Private Credit platform as it continues to scale. This function is deeply … and oversigh tThe approach is very much risk based, with credit analysis at the heart of the rol e Key outputs includ e: Active portfolio monitoring and the management of corporate actions that may include covenant waivers, liquidity issues et c..The enhanced monitoring of assets that are performing … behind plan. Tracking of risk factors and their potential impact on the portfolio compan iesPortfolio Analysis through technical credit analysis and the periodic reporting of these to Partners and Invest orsOngoing coverage of both the management and sponsor relations hipRestructuring – this is a key part of the role more »
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Senior Business Analyst (Fixed Income)

London Area, United Kingdom
Durlston Partners
dynamic data operations team, fuelling their enterprise platform with top-tier security analytics. You'll be the backbone of Global Fixed Income, collaborating with Portfolio Management, Quant, and Credit Research teams to optimise their Fixed Income Front Office tech solutions. At this client, they're shaping the future … data analysis tools (SQL, Excel, Python). Familiarity with Fixed Income analytics platforms like Bloomberg PORT. Preferred: Experience with various Fixed Income instruments and portfolio accounting systems. If you're ready to make an impact in a collaborative environment and drive innovation in the asset management industry, we more »
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Portfolio Management
London
10th Percentile
£43,600
25th Percentile
£65,000
Median
£85,000
75th Percentile
£110,000
90th Percentile
£130,000