Live opening · Posted 11 hours ago
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About the role
Description supplied by the original job listing.
Deliver portfolio analysis and reporting by evaluating exposures, performance trends and risk characteristics across funds and mandates, converting portfolio data and market information into structured insights that support portfolio oversight, enhance risk management and contribute to informed fund selection and portfolio construction decisions within Liberty and Fund Solutions investment frameworks.
Type of Qualification: First Degree
Field of Study: Business Commerce, Finance and Accounting
Type of Qualification: Post Graduate Degree
Field of Study: Business Commerce, Finance and Accounting
Experience Required
Asset & Portfolio Management
Investment & Asset Management
5-7 years
Experience analysing credit portfolios, instruments and exposures within asset management or financial services environments, including evaluating credit quality, performance drivers and risk characteristics across funds or mandates.
3-4 years
Experience interpreting portfolio data, market information and performance metrics to produce structured reporting and analytical outputs that support portfolio oversight, risk management and investment decision-making processes.
5-7 years
Experience working with portfolio managers, research or product teams to gather inputs, validate data and deliver consistent analytical support within defined investment frameworks and processes.
Behavioural Competencies:
Articulating Information
Checking Things
Convincing People
Developing Expertise
Developing Strategies
Technical Competencies:
Active Investment Management
Asset Management
Compliance
Evaluating Risk Management Effectiveness
Financial Analysis
Employment type
Part-time
Work arrangement
Hybrid
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