Titre de fonction: Portfolio Manager
Type de Job: Permanent
Catégorie d'emploi: Plein-temps
Localisation: GE, CH
Offre publiée: 21/04/2026
Numéro de l'offre: 41692
Nom du contact: Charlotte Boulithe
Numéro de téléphone: +41 22 718 03 10
Email: c.boulithe@lotuspartners.ch

Description de poste

           

For one of our clients, an asset management company based in Geneva, we are looking for a:

 

PORTFOLIO MANAGER

 

Job description

Portfolio Management/Oversight and Cash/Liquidity Management

  • Perform daily review of client portfolios to ensure alignment with investment mandates, guidelines, and strategic asset allocation.
  • Oversee cash positions across all client accounts.
  • Anticipate liquidity needs and ensure sufficient funding for trades, fees, and withdrawals.
  • Proactively manage cash to avoid overdrafts or inefficient idle balances.
  • Monitor positions, performance, and risk exposures across asset classes.
  • Investigate and resolve discrepancies identified through portfolio and custodian reconciliations.
  • Ensure data integrity and consistency across portfolio management systems and reporting tools.

Investment Advisory & Portfolio Construction

  • Develop and communicate investment ideas for advisory clients.
  • Contribute to macroeconomic analysis and market views (weekly meetings)
  • Participate in identifying investment opportunities across asset classes (selection of external fund manager)
  • Support the design and implementation of strategic and tactical asset allocation for discretionary portfolios.

Trade Execution & Implementation

  • Execute client-directed transactions in a timely and accurate manner within the portfolio management system.
  • Ensure best execution practices and compliance with internal procedures.
  • Monitor trade lifecycle from order placement through settlement.
  • Maintain high responsiveness to client instructions and market opportunities.

Systematic Fund Management (Classic Strategic Fund)

  • Oversee the daily production and operational workflow of a systematic investment fund.
  • Execute and monitor proprietary models developed in MATLAB and Python.
  • Validate outputs, ensuring accuracy and consistency of signals, positions, and risk metrics.
  • Implement any trade according to target portfolio within Bloomberg EMSX

Reporting & Data Management

  • Maintain and update portfolio reporting systems on a daily basis.
  • Ensure accurate, timely, and transparent reporting of positions, performance, and exposures.
  • Enhance monitoring tools to improve visibility and decision-making capabilities.
  • Prepare and update weekly reports for internal investment meetings.
  • Consolidate portfolio analytics, performance attribution, and market insights.
  • Contribute to discussions on portfolio positioning, risk management, and investment strategy.

 

Required profile

  • Master’s degree in Finance or Economics
  • Financial and economic background
  • 5–7 years of experience in the asset management industry
  • Proven experience in discretionary portfolio management
  • Advanced knowledge of capital markets, asset allocation and portfolio optimization
  • Strong communication and presentation skills, with the ability to articulate sophisticated investment concepts

 

 

All files will be treated with the utmost confidentiality.