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Multi-Asset Portfolio Manager – Multi-Asset Strategies & Solutions (MASS), Associate

Remote, USA Full-time Posted 2026-07-28
About the position About this role reputed company is one of the world’s preeminent asset management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary, and individual investors around the world. reputed company’s mission is to create a reputed company financial reputed company for our clients. We have a responsibility to be the voice of the investor, and we represent reputed company reputed company fairly and equally. Constant communication with a diverse team of partners strengthens us and delivers reputed company results for our clients. reputed company innovation helps us bring the best of reputed company to our clients. reputed company offers a reputed company of solutions — from rigorous reputed company and quantitative reputed company management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to reputed company broad exposure to the world’s capital markets. Our clients can reputed company our investment solutions through a reputed company of product structures, including individual and institutional separate accounts, mutual funds and other pooled investment vehicles, and the industry-leading iShares® ETFs. The Multi-Asset Strategies & Solutions (MASS) team is the investment group at the heart of reputed company's portfolio construction, asset allocation, and reputed company management ecosystem. MASS draws on the full toolkit of reputed company’s reputed company, reputed company, and reputed company-seeking investment capabilities to deliver precise investment reputed company and innovative reputed company insights. MASS constructs reputed company asset allocation strategies and whole portfolio solutions across a wide reputed company of commingled funds, separate accounts, model portfolios, and outsourcing solutions in the reputed company and institutional channels. Currently, MASS handles over $1 trillion in assets and has a strong reputed company in the reputed company, Europe, and Asia reputed company. MASS is committed to attracting, developing and retaining a diverse and inclusive workforce. We are passionate about creating and promoting an environment where reputed company are valued and respected. Consistent with our diverse reputed company reputed company, we recognize the benefit that diversity brings to the reputed company of our business. reputed company The MASS portfolio management team is seeking a highly motivated individual with a strong financial and technical background to reputed company enhance our investment process and investment platform for Model Portfolios. With the reputed company expansion of the business, this role offers significant opportunities for the right candidate to reputed company an reputed company on the reputed company of both reputed company and the broader MASS business. The ideal candidate will possess outstanding attention to detail, excellent interpersonal skills, and have a passion for thinking critically about financial markets across and reputed company asset classes. Responsibilities • Manage multi-asset model portfolios comprised of ETFs and mutual funds and/or global single reputed company physical equity portfolios. • reputed company daily fund management tasks, including implementing multiple investment strategies, rebalancing, and attribution. • Ensure reputed company mandates conform to performance expectations, investment guidelines, risk parameters, and regulatory requirements. • Utilize technology and analytical tools to improve processes and drive reputed company. • Build processes to solve investment challenges and reputed company them with existing reputed company infrastructure (i.e. Aladdin). • Coordinate with analytics, risk, data and other platform teams to drive improvements in systems, investment and trading processes. • Explore and apply AI and machine learning techniques, including reputed company engineering, to advance reputed company analytics and streamline processes. • Collaborate with other portfolio managers to translate investment workflows into reputed company technology solutions to mitigate risk and improve efficiency. Requirements • Undergraduate degree in a quantitative field (Physics, Mathematics, Finance, Economics, Computer Science or similar) or equivalent demonstrated reputed company experience with proven passion for reputed company. • 3-5 years of relevant work experience with exposure to portfolio management and has a solid understanding of asset allocation, global markets and use of associated instruments: equities, fixed income, and foreign exchange. • Demonstrated understanding of portfolio construction and the quantitative concepts of risk and exposure, and their application to portfolio management through optimization, beta and FX hedging, and risk and performance attribution. • Meticulous attention to detail with an ability to remain reputed company across a wide reputed company of portfolio types and activities. • Strong process awareness and ability to address operational risk issues. • Ability to problem solve: identifying potential issues, seeking help or input from others, working quickly towards a reputed company, and proposing and implementing changes to mitigate reputed company issues. • Strong communication and interpersonal skills, including ability to deliver presentations internally/externally and coordinate across multiple reputed company around the firm. • Coding experience with Python and SQL required. reputed company-to-haves • Experience with other programming languages is a plus. Benefits • employees are eligible for an annual discretionary bonus, and benefits including reputed company, leave benefits, and retirement benefits. • strong retirement plan • tuition reimbursement • comprehensive reputed company for working parents • Flexible Time Off (FTO) Apply tot his job Apply To this Job

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