
Vice President, Alternatives Analyst/Assistant Portfolio Manager
3w3 weeks agoBNY
London, GB · Full-time · £160,000 – £240,000
About this role
BNY is a leading global financial services company at the heart of the financial system, influencing nearly 20% of the world’s investible assets. Teams harness cutting-edge AI and breakthrough technologies to collaborate with clients on transformative solutions. We’re seeking an Alternatives analyst/assistant portfolio manager to join the Newton Multi-Assets Investments team in London, UK.
Conduct in-depth due diligence on potential investments across infrastructure, real estate, and commodities. Support investment ideas with timely, well-written research responsive to prioritizations. Build financial models to assess opportunities and perform market research, macroeconomic analysis, and thematic studies.
Assist in the construction and ongoing management of diversified alternatives portfolios aligned with client goals, risk tolerance, and regulations. Monitor portfolio performance, risk exposures, and compliance with guidelines. Prepare investment committee materials and collaborate on asset allocation stress testing and performance attribution.
Maintain relationships with external managers, consultants, and industry contacts. Represent the firm at industry events, conferences, and due diligence meetings. Join a culture of innovators and champions of inclusion where bold ideas meet advanced technology to power the future of finance.
Requirements
- Bachelor’s degree or equivalent combination of education and experience required; advanced/graduate degree preferred
- Demonstrable investment experience
- CFA, CAIA designation or equivalent certification is mandatory
- Experience in private equity, private credit, and private markets is highly desired
- Financial statement analysis experience is required
Responsibilities
- Conduct in-depth due diligence on potential investments across infrastructure, real estate, and commodities
- Support investment ideas with timely and well-written research responsive to research prioritizations
- Undertake creative, imaginative and value additive research
- Build and maintain financial models to assess investment opportunities and portfolio impact
- Perform market research, macroeconomic analysis, and thematic studies to support investment theses
- Prepare and present investment memos to the Investment Team
- Assist in the construction and ongoing management of diversified alternatives portfolios
- Monitor portfolio performance, risk exposures, and compliance with investment guidelines
Benefits
- Wellbeing programs
- Pay-for-performance philosophy
- Strong culture of excellence
- Recognized as America’s Most Innovative Companies (Fortune, 2025)
- World’s Most Admired Companies (Fortune 2025)
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