Senior Portfolio Implementation Specialist - Meredith Brown Associates - #2132787

eFinancialCareers


Date: 1 hour ago
City: London
Contract type: Full time
Work schedule: Full day
eFinancialCareers

Our client, a leading investment management firm, is seeking a highly experienced Senior Portfolio Implementation Specialist to play a key role in the implementation and transition of complex multi-asset portfolios. Working at the intersection of investment management, portfolio operations, and execution, this position will oversee the successful delivery of portfolio changes across fund-of-funds, manager of mangers, SMA, and direct investment structures. The successful candidate will combine strong technical implementation expertise with a strategic mindset, ensuring portfolio transitions are executed efficiently, risk is effectively managed and governance standards are maintained. This is a unique opportunity to join an exceptional investment team and directly contribute to the evolution of a sophisticated multi-asset investment platform.

Key Responsibilities:

  1. A minimum of 8–12 years in institutional investment implementation, fund management operations, or execution at a firm managing significant AUM, ideally within UK asset management or wealth management, with direct exposure to fund-of-funds, manager-of-managers, or multi-vehicle structures.
  2. Deep familiarity with fund dealing mechanics in a layered structure, subscription, redemption, and in-specie transfer management across both the fund-of-funds level and underlying single-manager funds and SMAs, including dealing deadline logistics, notice period tiering, NAV pricing windows, swing pricing, and dilution levy awareness.
  3. Experience managing portfolio changes and transitions within fund-of-funds or manager-of-managers vehicles, including the sequencing of manager transitions, tracking error management during transition periods, and the coordination of dealing across multiple underlying vehicles simultaneously.
  4. Demonstrable experience with model portfolio implementation and rebalancing governance.
  5. Sufficient breadth across a multi-asset universe to engage credibly with equities, fixed income, FX, listed options, structured products, and private markets, and to manage implementation across portfolios that combine direct securities with fund and SMA holdings.
  6. Strong understanding of MiFID II best execution obligations, EMIR trade reporting requirements, and FCA expectations of large UK wealth and asset managers in relation to order handling, fund dealing governance, and counterparty management.
  7. Experience evaluating, selecting, or working within order management, portfolio management, or rebalancing systems — with particular attention to fund workflow, model propagation, and multi-vehicle implementation capability.

Background experience:

  1. Prior experience in formal transition management, particularly multi-vehicle transitions spanning fund, SMA, and single-line instruments, with structured risk budget management and post-transition cost attribution.
  2. Experience with FX overlay management, benchmarking, or renegotiation in a multi-currency, multi-vehicle portfolio context.
  3. Direct experience negotiating dealing terms, service levels, or reporting arrangements with underlying managers, fund administrators, transfer agents, or platform providers at institutional scale.
  4. Experience with direct securities execution: algorithmic trading, implementation shortfall methodology, and TCA.
  5. Exposure to private markets implementation: capital call management, redemption notice logistics, and the sequencing of liquid portfolio changes around illiquid commitments.
  6. CFA, CAIA, FRM, IMC, or equivalent professional qualification.

Please note that due to the high volume of applicants responding to our adverts we are regrettably not able to feedback on all applications; only successful candidates will be contacted

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