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Portfolio Manager - Multi-Asset Strategies (m/w/x)
Constructing and managing multi-asset portfolios using quantitative methods for a family-owned private bank. At least two years of portfolio management experience required. Great Place To Work award recipient.
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Anforderungen
- University degree in quantitative discipline (Finance, Economics)
- Postgraduate degree or progress towards CFA, CIIA, CAIA, FRM
- At least two years relevant experience in portfolio management, multi-asset investing, quantitative investment analysis, risk management or comparable investment role
- Good understanding of capital markets, major asset classes, portfolio construction, risk management
- Strong foundation in quantitative methods
- Familiarity with portfolio optimisation, risk models, scenario analysis, performance attribution
- Fixed-income knowledge
- Hands-on Python skills for investment analysis, data processing or automation
- Experience with Bloomberg PORT Enterprise and Bloomberg Optimizer
- Strong analytical and problem-solving capabilities
- Intellectual curiosity and sound judgement
- Accurate and reliable work ethic
- Ownership of responsibilities and knowing when to seek input
- Collaboration across teams
- Clear communication of complex findings
- Driving improvements through to implementation
- Fluency in German
- Fluency in English
Aufgaben
- Construct, monitor, and manage portfolios within investment guidelines.
- Apply quantitative methodologies for portfolio analysis and construction, including optimisation, risk modelling, scenario analysis, and performance attribution, collaborating with the Quant team.
- Translate investment views into portfolio positions and assess risk, return, diversification, and implementation implications across asset classes.
- Prepare portfolio, performance, and risk analyses, and decision materials for discussions.
- Support evaluation and implementation of investment instruments, working with stakeholders for efficient portfolio execution.
- Improve analytical tools, reporting, and portfolio management processes through Python automation and development.
- Document methodologies and communicate results to quantitative and non-quantitative stakeholders.
Berufserfahrung
Ausbildung
Sprachen
Tools & Technologien
Benefits
- Great Place To Work award
Von Nejo automatisch aufbereitet
Nejo hat diesen Job automatisch von der Website des Unternehmens LGT Bank (Schweiz) AG erfasst und die Informationen auf Nejo mit Hilfe von KI für dich aufbereitet. Trotz sorgfältiger Analyse können einzelne Informationen unvollständig oder ungenau sein. Bitte prüfe immer alle Angaben in der Originalanzeige! Inhalte und Urheberrechte der Originalanzeige liegen beim ausschreibenden Unternehmen.
Zur Originalanzeige bei LGT Bank (Schweiz) AGÜber das Unternehmen
LGT is the world’s largest family-owned and managed Private Banking and Asset Management Group.
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