Employer Active
Job Alert
You will be updated with latest job alerts via emailJob Alert
You will be updated with latest job alerts via emailAion Bank is a fully regulated European bank and credit institution combining Vodenos cuttingedge private blockchainbased platform with its ECB banking license strong balance sheet and deep regulatory expertise. Our mission is to provide a comprehensive suite of embedded banking solutions enabling businesses to seamlessly integrate financial services into their offerings.
As part of the UniCredit Group Aion Bank and Vodeno will accelerate their digital banking offer in strategic markets and will act as a sandbox for innovation for the wider UniCredit Group. Aion Bank and Vodenos existing BankingasaService (BaaS) offering across key European markets includingGermanyandPoland will see the bank embed its services ranging from account access and deposits to lending payments and loyalty programs directly into nonbanking digital platforms facilitating seamless customer experiences.
At Aion Bank ourbiggest strength is our peoplea team of highly intelligent creative and ambitious professionals who thrive in a fastpaced innovative environment. We believe in delivering results while fostering a culture of passion and collaboration.
We are currently looking for a Portfolio Manager Asset Management ready to join our adventure share our ambition and help shape the future of digital banking.We are seeking a talented Portfolio Manager to join our dynamic Asset Management team. If youre ready to make an impact and work in a fastpaced resultsdriven environment this role could be your next career move.
Your main responsibilities will be to support our portfolio management activities including defining strategies for trade and optimisation and implementation of new portfolio management propositions. You will be responsible for:
Portfolio Management: Oversee and manage a diverse portfolio of client assets ensuring optimal riskadjusted returns.
Investment Strategy: Develop and implement tailored investment strategies in alignment with client goals and risk tolerance.
Market Analysis: Conduct indepth market research financial analysis and economic forecasting to inform investment decisions.
Client Relationships: Provide regular updates and insights into portfolio performance.
Risk Management: Assess and manage risk exposure across client portfolios utilizing advanced risk management tools.
Team Collaboration: Work closely with research analysts traders and other portfolio managers to drive investment decisions.
Proven experience of at least 2 years as a Portfolio Manager or in a similar role within asset management.
Strong understanding of investment products financial markets and asset classes.
You have been authorised by the KNF as an investment advisor. Candidates without a licence will not be considered.
Excellent analytical and quantitative skills with attention to detail.
You are a CFA charterholder or candidate (nice to have).
Ability to make datadriven decisions in a fastpaced environment.
You have excellent problem solving skills and ability to work independently.
Strong communication and interpersonal skills to interact with clients and stakeholders.
You are fluent in English. Additional languages will be an added advantage.
Diverse teams really are the best teams. Research shows that some candidates may hesitate to apply for a job unless they meet every requirement. If you are excited about working with us we encourage you to apply even if youre not 100 sure. We are interested in getting to know you and learning about what you bring to the table.
Please note that we may close a job posting early if we receive a large number of exceptional applications.
Good luck!
Required Experience:
Manager
Full-Time