Where

SENIOR PORTFOLIO MANAGER

Executive Placements
Cullinan Full-day Full-time

Description:

Our client, an established company within the financial sector is seeking to hire a highly skilled and experienced Senior Portfolio Manager to join their team. This is an excellent opportunity for an individual with strong leadership, mentoring, and team collaboration abilities to grow their career within a reputable organisation.

Education and experience:

Postgraduate degree in Finance, Economics, Investment Management, or a related field (CFA preferred). Minimum 7 years experience in portfolio management, multi-manager research, or investment consulting. Proven track record managing discretionary mandates, including unit trusts, hedge funds, ETFs and alternative investments. Strong understanding of South African and global investment markets, regulatory frameworks, and DFM operations. Proficiency in English and Afrikaans.

Duties:

Investment strategy:

Develop and articulate the long-term investment strategy for multi-asset portfolios, ensuring alignment with the firms overall vision, client objectives, and evolving market conditions. Lead the identification and evaluation of new investment opportunities, asset classes, and strategic partnerships that enhance portfolio value and support business growth. Drive the implementation of innovative portfolio solutions and business models, adapting to regulatory changes, technological advancements, and competitive dynamics in the South African and global investment landscape. Act as a strategic partner to financial advisors and key stakeholders, providing thought leadership, market insights, and guidance on complex investment challenges. Participate in and influence the development of the firms investment philosophy, house view, and strategic asset allocation frameworks.

Portfolio construction and management:

Design, implement, and manage multi-asset portfolios (unit trusts, hedge funds, direct equities, ETFs and alternatives) in line with client mandates and the firms investment philosophy. Oversee asset allocation, manager selection, and portfolio rebalancing, ensuring alignment with risk/return objectives and regulatory requirements. Monitor and report on portfolio performance, risk metrics, and compliance with mandates.

Manager research and due diligence:

Conduct qualitative and quantitative research on third-party asset managers and investment products. Present investment theses and recommendations to the investment committee and stakeholders. Maintain and update approved and buy lists for underlying managers and funds.

Client engagement and advisory support:

Act as a strategic partner to financial advisors, providing portfolio insights, market commentary, and investment proposals. Deliver high-touch servi
05 Jan 2026;   from: gumtree.co.za

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