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Multi-Asset Portfolio Manager – Buy-Side

Ref #: 55
Location: UK
Salary: £100,000 -£175,000 + Bonus
Type: Permanent

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.


The Role

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.


Key Responsibilities

  • 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.


What We’re Looking For

  • 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.


Why Join?

  • 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.

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