Multi‑Asset Fund Manager: Strategy & Portfolio Growth

Legalandgeneral

United Kingdom

Hybrid

GBP 70,000 - 110,000

Full time

14 days+
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Benefits offered by this job

Annual bonus and share schemes
Generous pension contribution
Life assurance
Healthcare plan

Job summary

Legal & General (L&G) Asset Management is seeking a Fund Manager to join the Asset Allocation team, managing a range of multi-asset strategies and contributing to portfolio performance, research, and client communications.

You will construct portfolios with a focus on quality, risk, and strategic initiatives, collaborate across the business, and help extend the investment range while working with economists, strategists, and investment specialists across UK offices.

Qualifications

  • Experience managing multi-manager funds or strategies that combine multiple active investment approaches.
  • Strong manager research experience across a range of asset classes.
  • Experience managing multi-asset funds and constructing portfolios.
  • Understanding of underlying asset classes, derivatives and portfolio risk.
  • Experience communicating investment propositions to clients or consultants.
  • Evidence of managing projects and delegating effectively while maintaining quality.
  • A collaborative approach and confidence working across different investment disciplines.
  • Experience with Python or Microsoft Copilot would be beneficial.

Responsibilities

  • Managing the performance of an agreed range of multi-asset strategies.
  • Constructing portfolios with a strong focus on quality, accuracy and risk.
  • Delivering strategic initiatives that extend the investment range and supporting infrastructure.
  • Contributing to investment ideas and strategy decisions within your areas of expertise.
  • Researching internal and external managers across key asset classes.
  • Evaluating risk attribution across portfolios combining index and active alpha exposures.
  • Communicating investment views and supporting the marketing of multi-asset strategies.
  • Collaborating across the business to strengthen the overall multi-asset proposition.

Skills

Multi-asset management
Manager research
Portfolio construction
Risk understanding
Client communication
Project management
Collaborative approach
Python

Tools

Python

Job description

Legal & General (L&G) Asset Management is seeking a Fund Manager to join the Asset Allocation team, managing a range of multi-asset strategies and contributing to portfolio performance, research, and client communications.

You will construct portfolios with a focus on quality, risk, and strategic initiatives, collaborate across the business, and help extend the investment range while working with economists, strategists, and investment specialists across UK offices.

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