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Posted 15 July, 2026

Senior Portfolio Manager - Multi Management

Mediolanum International Funds
Dublin, Dublin, Ireland Full Time
Reference: 1799541614

Vacancy Name
Senior Portfolio Manager - Multi Management

Employment Type
Permanent

Location

Role Profile
We currently have an exciting opportunity available for an experienced Investment professional to join the Multi Management team at Mediolanum as a Senior Portfolio Manager.

The successful candidate will be responsible for the management of a range of Fund of Fund portfolios covering Equity, Fixed income and Multi Asset. The role will encompass research and portfolio management activities and as well as leading other members of the team to improve performance.

This is an excellent opportunity to join a growing team within a top tier asset manager in Dublin with over 70 billion AUM.

Duties
• Be the named portfolio manager on a multi asset fund of fund portfolio.
• Be an active member of our tactical asset allocation group capable of generate investment ideas.
• Ensure that portfolios are consistent with the Investment Committee strategic view as well as being aligned to key product objectives.
• Actively participate with the fund research team to the creation of a buy list of funds across all asset classes.
• Develop models to identify the factors that drive performance and enhance it, seek new ways of constructing portfolios and challenging investment ideas.
• Maintain strong knowledge of allocated peer categories as defined by Morningstar, to understanding industry positioning across the sector.
• Develop quantitative techniques that support investment decisions.
• Help to design active investment risk measures and efficient analysis of portfolios.
• Support Portfolio Managers through critical analysis of the composition of funds.
• Ad hoc projects as required.

Skills & Competencies
• Excellent analytical skills, knowledge of numerical & quantitative research techniques.
• Strong organisational and communication skills.
• Ability to work as part of a team.
• Numeracy, accuracy and attention to detail as a pre-requisite as is the ability to work to deadlines in a team-based environment.
• Advanced knowledge of Microsoft Word, Excel, and PowerPoint required.
• Knowledge of Bloomberg PORT, Factset, Morningstar, Style Research is an advantage.
• Programming skills desirable.

Qualifications & Experience
• At least 10 years experience as a portfolio manager within asset management.
• Deep knowledge of Financial Markets and direct experience in managing Multi Asset Portfolios.
• CFA qualification is an advantage.
• Bachelor Honours Degree in a Quantitative or Business related subject.

Applications Close Date

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