Multi-Manager Portfolio Manager

  • Competitive
  • Dublin, Leinster, Ireland Dublin Leinster IE
  • Permanent, Full time
  • Mediolanum Asset Management Limited (MAML)
  • 09 Mar 18 2018-03-09

We currently have an opening for the role of Multi-manager portfolio manager. The person will be part of a team covering Equity, Fixed income and multi asset. The role will be managing multi asset fund of funds and so experience in this area is a prerequisite. Strategic guidance is provided by the Investment committee, the successful candidate for this role will be expected to manage the portfolios in line with this view.

Report to:      Head of Multi-Manager portfolio management

Principal Duties of the position, including but not limited to:

  • To be part of the multi manager team and be a named portfolio manager in a number of products
  • Ensure that portfolios are consistent with the Investment Committee strategic view as well as being aligned to key product objectives
  • Help to design active investment risk measures and efficient analysis of portfolios
  • Developing quantitative techniques that support investment decisions
  • Develop models to identify the factors that drive performance and enhance it, seek new ways of constructing portfolios and challenging investment ideas
  • Support Portfolio Managers through critical analysis of the composition of funds
  • Ad hoc projects as required


  • 5+ years’ experience in asset management.
  • Extensive experience in multi asset fund of fund portfolio management.
  • Quantitative/Business based University Degree.
  • CFA qualification is advantageous.
  • Excellent analytical skills, knowledge of numerical & quantitative research techniques
  • Strong organisational skills
  • Ability to work as part of a team
  • Programming skills desirable
  • Numeracy, accuracy and attention to detail as a pre-requisite as is the ability to work to deadlines in a team based environment
  • Strong analytical and communication skills (both oral & written)
  • Advanced knowledge of Microsoft Word, Excel, and PowerPoint required
  • Knowledge of Bloomberg PORT, Morningstar, Style Research is an advantage