The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise
Job Summary
The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise.
You will leverage AI-driven tools and advanced analytics to streamline workflows, elevate decision-making, and realize meaningful productivity gains.
The team is focused on the effective management of balance sheet portfolio risks and investment activity while ensuring appropriate liquidity and funding settings.
Matching Summary
The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise.
Salary
Not specified; Not specified; Not specified
Skills & Requirements
Must-have
3-4 years market-facing experience
Treasury or Funds Management background
Deep understanding of bank funding
Liquidity management expertise
Regulatory compliance knowledge
Murex or Wall Street Systems proficiency
Nice-to-have
AI agent development experience
Python and SQL modelling skills
Global macroeconomic theme interest
Advanced analytics with Tableau
Strong stakeholder partnership skills
Continuous process enhancement mindset
Key Requirements
Tertiary qualifications in Finance, Economics, Mathematics or Business
Postgraduate study or professional accreditation preferred
Experience in Treasury, Bank, or Funds Management environment
Proficiency with core Treasury systems like Murex and Bloomberg