Vice President, Model Portfolio Manager, Multi-Asset Strategies & Solutions (MASS)
Core
Support the ongoing management and evolution of the model portfolio platform by combining portfolio management, investment analytics, and AI/technology enablement to enhance research, analytics, and investment decision-making.
Role type
Associate, Model Portfolio Manager (Hybrid: Portfolio Management + Investment Analytics + AI/Technology)
Builds
Scalable investment solutions, automated analytical workflows, and AI-enabled portfolio intelligence tools.
Domain
Asset Management / Multi-Asset Strategies / Quantitative Finance
Deliverable
production ML models | product features | dashboards & analysis
Required skills
Portfolio management, performance evaluation, attribution, risk analytics, Python, SQL, AI/LLM technologies, prompt engineering, workflow automation, data visualization
Preferred skills
Model portfolios, asset allocation, multi-asset investment strategies, investment technology platforms, Power BI, CFA/FRM designation
Technologies
Python, SQL, Aladdin, Power BI, LLMs
Responsibilities
Monitor portfolio positioning and facilitate rebalances; execute portfolio changes from asset allocation updates; own performance analysis and design multi-asset attribution/risk analytics; develop Python-based tools and automated workflows; apply AI/LLM technologies to streamline research and reporting; partner with stakeholders to evaluate emerging AI capabilities.
Seniority
Associate, entry-level IC