Portfolio Manager at Aviva Investors Luxembourg - Netherlands branch
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

26 Feb, 26

Salary

0.0

Posted On

28 Nov, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Fund Management, Investment Strategy, Client Relationship Management, Regulatory Compliance, Equities, Derivatives, Risk Management, Financial Analysis, Team Leadership, Marketing Initiatives, Continuous Improvement, Knowledge Sharing, Balance Sheet Analysis, Company Valuation, Asset Class Expertise, Performance Measurement

Industry

Financial Services

Description
Please note this position is based in London and this will be the contractual location of the successful candidate, other locations cannot be considered. Portfolio Manager This is a great job for someone who has comprehensive knowledge of the markets in general along with an expert knowledge of the specific asset class with a track record in fund management. A bit about the job: As a Portfolio Manager, you will operate within the Investment Management Agreement (IMA) to implement investment decisions across a defined asset class, ensuring strong performance and delivering the right outcomes for clients. You will act as a key representative in cross-asset forums, championing the desk’s perspective and serving as a figurehead for the sub-asset class both internally and externally. This role involves managing a diverse range of funds, from straightforward to complex mandates, and building relationships with retail, institutional, consultant, affiliate, and flagship clients. You’ll play an active role in marketing initiatives, contribute to knowledge sharing across the business, and identify opportunities for continuous improvement to drive efficiencies and synergies. Additionally, you may supervise or line-manage junior colleagues, fostering development within the team. Skills and experience we’re looking for: Regulatory threshold competent and approved. Degree, or able to demonstrate a suitable depth of intellectual rigour and maturity. IMC or equivalent; or recognized historical knowledge, experience and/or qualification and CFA or equivalent qualification. Able to read and understand a balance sheet and value a company as well as being at ease meeting senior executives of potential investment target companies (specifically within in equities, but useful across disciplines). Excellent understanding (where relevant) of derivative products and their uses in fund strategy and risk management. What you’ll get for this role: Generous pension scheme - Aviva will contribute up to 14%, depending on what you put in Eligibility for annual performance bonus Family friendly parental and carer’s leave Generous holiday entitlement plus bank holidays with the option to buy/sell up to 5 additional days Up to 40% discount for Aviva products Aviva-funded Private Medical Benefit to help you get expert support when you need it Brilliant flexible benefits including electric cars Aviva Matching Share Plan and Save As You Earn scheme 21 volunteering hours per year In this role you’ll be ‘Certified’ under the Financial Conduct Authority / Prudential Regulation Authority’s Senior Managers and Certification Regime (SMCR). This means that we’ll need to complete some regulatory background checks on you before you take up your role and we’ll need to ask you some questions on an annual basis to make sure you remain ‘fit and proper’ and competent to carry out your role. We’ll provide training on what holding a SMCR role means when you join us and annually thereafter. Aviva is for everyone: We’re inclusive and welcome everyone – we want applications from all backgrounds and experiences. Excited but not sure you tick every box? Even if you don’t, we would still encourage you to apply. We also consider all forms of flexible working, including part time and job shares. We flex locations, hours and working patterns to suit our customers, business, and you. Most of our people are smart working –spending around 50% of their time in our offices every week - combining the benefits of flexibility, with time together with colleagues. To find out more about working at Aviva take a look here We interview every disabled applicant who meets the minimum criteria for the job. Once you’ve applied, please send us an email stating that you have a disclosed disability, and we’ll interview you. We’d love it if you could submit your application online. If you require an alternative method of applying, send an email to GlobalRecruitment@avivainvestors.com Aviva Investors is the asset manager for Aviva, the UK’s leading insurance, wealth and retirement business. With responsibility built into our investment processes, we create solutions fit for the future. We have the capital, scale and influence to drive positive change in the world and we don’t take that responsibility lightly as we strive to do the right thing for our people, communities. We bring together expertise from over 1,500 people in 14 countries connecting seamlessly as one team to deliver the best of our diverse expertise with every investment. It takes all of us at Aviva Investors to contribute to creating an exceptional client experience, reflecting our innovation in sustainability. Enjoy an inclusive environment, get rewarded for high performance and take control of your development.

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Responsibilities
As a Portfolio Manager, you will implement investment decisions across a defined asset class, ensuring strong performance and delivering the right outcomes for clients. You will manage a diverse range of funds and build relationships with various clients while contributing to marketing initiatives and identifying opportunities for improvement.
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