Platinum & Partners is exclusively engaged by a highly respected global fund manager to identify an experienced and dynamic Multi-Asset Portfolio Manager to join its London-based investment team. This is an exceptional opportunity to join a forward-thinking, research-led platform managing diversified global portfolios for institutional, wealth and retail clients.
The firm offers a collaborative investment culture, robust infrastructure and a strong reputation for performance, innovation and client trust.
As a Multi-Asset Portfolio Manager, you will be responsible for constructing and managing globally diversified portfolios across a broad spectrum of asset classes including equities, fixed income, alternatives, FX and derivatives. You’ll contribute to both strategic and tactical asset allocation, security selection and risk management—working within a structured, performance-driven environment.
Manage and oversee multi-asset portfolios tailored to various risk/return profiles.
Contribute to the asset allocation process, including macroeconomic analysis, quantitative modelling and fundamental research.
Select securities and instruments across asset classes, including ETFs, funds, futures, options, FX and bespoke derivatives.
Work collaboratively with internal research, trading and risk teams to ensure portfolios are aligned with strategy and compliance standards.
Engage with clients, consultants and stakeholders to communicate portfolio construction rationale, performance and market outlook.
7–10+ years of experience in multi-asset portfolio management or asset allocation roles on the buy-side (asset manager, family office, etc.).
Strong knowledge of global markets, investment products and portfolio construction principles.
Experience managing risk-adjusted portfolios with exposure to both traditional and alternative asset classes.
Strong quantitative or macroeconomic background a plus.
CFA qualified
Excellent communication and stakeholder engagement skills.
Work for a globally recognised asset manager with a long-standing reputation for innovation, performance and client service.
Direct impact on portfolio construction, strategy and performance.
Competitive base salary, performance-linked bonus and long-term incentive schemes.
Access to best-in-class research, risk and operational infrastructure.
A supportive and intellectually rigorous team culture.
If you’re a strategic thinker with a passion for managing global multi-asset portfolios and looking for your next challenge at a prestigious buy-side firm, we’d love to hear from you.