Key Researcher Position
This is a captivating opportunity within a multi-asset investment team.
* Ensure top quartile performance of our implemented and model portfolios, consistent with client objectives.
* Monitor incumbent investment managers and assist in daily portfolio management, quantitative analysis, and operational aspects.
* Design and review relevant implemented and model portfolios, focusing on Australian and global listed and alternative asset classes.
* Prepare and present investment papers and research to investment committees for approval and communication.
* Contribute to regular and ad-hoc adviser and client communications on key investment issues and portfolio research updates.
Our ideal candidate will possess:
* 5-10+ years' experience as a multi-manager research analyst and/or portfolio manager, with demonstrable experience in Global listed Equities, REITs and other growth alternative asset class research.
* Investment experience across traditional and alternative asset classes, including portfolio management and portfolio construction of multi-manager funds.
* A strong understanding of portfolio construction theory, investment markets, and financial instruments.
* Knowledge and experience with ESG factors and Responsible Investing.
* Strong numeric, modelling and analytical skills, as well as strong presentation skills.
* Excellent written and verbal communication skills, and experience in Investment Committee reporting.
Our organisation's unique culture is underpinned by three organisational behaviours: Stretch, Own it, Make an impact, which drive our approach to day-to-day interactions, decision-making and problem-solving.