Junior Structured Solutions Portfolio Manager (Hybrid)

Fineco Asset Management

Dublin

Hybrid

EUR 100,000 - 160,000

Full time

9 days ago

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Benefits offered by this job

Growth opportunities
Hybrid working 3 days in office
25 holidays
Healthcare & Dental
Discretionary bonus
Bike to Work/TaxSaver

Job summary

Fineco Asset Management DAC, based in Dublin, seeks a highly skilled professional to lead the design, structuring and ongoing management of Structured Funds. You will work with internal teams and external banks to develop innovative solutions and manage portfolio risk.

The role offers hybrid working options and requires deep knowledge of derivatives, quantitative analysis and fund launches. A proactive, independent, and team-oriented candidate will thrive and contribute to growth.

Qualifications

  • 5+ years’ experience in investment management would be a plus, in Structured Products or as a Derivatives Trader.
  • Excellent analytical and learning skills and attention to detail.
  • Knowledge of derivatives either as a trader or structurer would be advantageous.

Responsibilities

  • Structuring, development and implementation of new structured investment funds and derivative-based investment solutions.
  • Analyse market conditions and evaluate payoff structures to identify optimal investment solutions at launch.
  • Coordinate end-to-end fund launch with stakeholders and counterparties to ensure timely execution.
  • Develop, enhance and maintain internal tools for derivatives pricing, portfolio monitoring, risk analysis and reporting.
  • Collaborate with Risk, Compliance, Operations, Legal and Product teams on fund documentation and reporting.

Skills

Structured Funds
Derivatives
Python
SQL
Visual Basic
Analytical thinking
Self-starter

Tools

Python
SQL
Visual Basic

Job description

Fineco Asset Management DAC, based in Dublin, seeks a highly skilled professional to lead the design, structuring and ongoing management of Structured Funds. You will work with internal teams and external banks to develop innovative solutions and manage portfolio risk.

The role offers hybrid working options and requires deep knowledge of derivatives, quantitative analysis and fund launches. A proactive, independent, and team-oriented candidate will thrive and contribute to growth.

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