Lombard Bank
Vacancies New

Portfolio and Fund Manager

In line with the Bank’s continued development, the need has arisen to engage, a suitable individual to perform the duties of Portfolio and Fund Manager.

The successful candidate will be assigned responsibility of a number of portfolios, and will be a member of a team of portfolio managers.  The incumbent will be responsible to manage discretionary/advisory portfolios and co-manage various UCITS SICAV sub-funds portfolios.

The main responsibilities of the position include, but are not limited to:

  • performing rigorous, quantitative and qualitative portfolio analysis;
  • maintaining portfolios within the designated parameters;
  • identifying and researching new investment opportunities;
  • recommending asset allocations;
  • meeting with and building relationships with clients and prepare Investment Policy Statements.

Interested applicants as a minimum shall:

  • have proven experience in fixed income and foreign exchange assets portfolio construction;
  • possess  a first degree, and preferably obtained or reading for the Chartered Financial Analyst (CFA) designation;
  • have at least 5 years’ experience and licensed by the Regulator to provide portfolio management;
  • possess highly developed quantitative and analytical skills;
  • be able to demonstrate a passion for investing;
  • possess a strong command of the English language, and have an ability to articulate a clear investment case in writing;
  • possess a core ability to understand and then identify strengths and weaknesses of new and old business models.

Applicants should send their application, accompanied by a detailed CV, to careers@lombardmalta.com.

Applications will be treated in strictest confidence. Any soliciting will lead to automatic disqualification.