Portfolio Manager

Nashville Public Radio

Greenville (SC)

On-site

USD 90,000 - 130,000

Full time

14 days+

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Job summary

Nashville Public Radio is seeking a skilled investment management professional to lead research and portfolio strategy. The candidate will manage ongoing oversight and implement portfolio changes based on market trends, while collaborating on investment tools for client education.

Ideal candidates will hold a Bachelor’s degree, CFA certification, and possess over 10 years of investment experience, particularly in growth and technology sectors. Strong attention to detail and organizational skills are essential.

Qualifications

  • 10+ years of Investment and Portfolio Management Experience.
  • Growth and technology sector experience preferred.

Responsibilities

  • Lead research and portfolio strategy in growth and technology sectors.
  • Conduct fundamental analysis and recommend portfolio adjustments.
  • Manage ongoing portfolio oversight and implementation.

Skills

Attention to Detail
Organizational skills
Communication skills

Education

Bachelor’s Degree
Chartered Financial Analyst (CFA)
Series 65 (preferred)

Job description

Foster Victor’s mission is to help our clients achieve their lifetime goals through holistic financial planning. This role supports the research, oversight, and communication behind our investment decisions – bringing clarity to portfolio strategy, contributing to committee discussions, and serving as a trusted resource to advisors and clients on market trends and opportunities.

Goals
  • To understand, articulate and emulate the firm’s purpose and core values
  • To become an integral part of the Foster Victor team, culture and workflow
  • Effective problem solver
  • Ability to thrive in a fast-paced, high-volume environment
Roles & Responsibilities
  • Lead research and portfolio strategy, with subject matter expertise in growth and technology sectors
    • Conduct fundamental analysis including earnings reports, filings, and third-party research
    • Identify new investment opportunities and recommend portfolio additions, adjustments, or replacements
    • Present sector trends, investment ideas, and allocation recommendations to the Investment Team
  • Manage ongoing portfolio oversight and implementation
    • Regularly review holdings and asset allocations across models
    • Execute approved portfolio changes and monitor performance against objectives
  • Help manage fund wholesaler relationships
  • Participate in client meetings as the Investment Guru
  • Collaborate on investment tools and research for advisor and client education
  • Participate in Quarterly Best Execution Committee meetings
  • Contribute to Monthly Investment Committee meetings
  • Collaborate on monthly/quarterly Client newsletter on markets
  • Review QL 401k models and outside 401k recommendations
  • Supervise cost-basis analysis for incoming and existing accounts
  • Collaborate on the creation and maintenance of all investment collateral
Basic Requirements
  • Chartered Financial Analyst (CFA)
  • Bachelor’s Degree
  • Series 65 (preferred)
  • 10+ years of Investment and Portfolio Management Experience
  • Growth and technology sector experience preferred
  • Attention to Detail, Organized, Well-Spoken
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