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Portfolio Manager – Macro-Quantitative Team

Company: Banca Ifis S.p.A.

Location: Milan, London

Posted: June 06, 2026

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Position Details

We are seeking an enthusiastic, self-motivated r Portfolio Manager to join our investment team, which has a macro-quantitative approach. This is a hands-on role where you will be involved in the entire investment process, from model development to fund selection and portfolio implementation.


Key Responsibilities:
Actively contribute to investment decision-making and risk-taking processes
Participate in the fund selection process: use of proprietary quantitative screenings and perform direct due diligence with portfolio managers
Research, design, develop and test investment model
Work on effective portfolios implementation
Produce market reports and provide insightful commentary on macro and portfolio dynamics for the sales team Qualifications:
Master's degree or higher in Economics, Engineering, Mathematics or Statistics
7-10 years working experience as analyst/portfolio manager, ideally with a strong quantitative focus. Candidates with expe...