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BlackRock

Vice President, Portfolio Manager - Multi-Asset Strategies & Solutions

6w

BlackRock

London, GB · Full-time · £180,000 – £280,000

About this role

BlackRock’s Multi-Asset Strategies & Solutions (MASS) business is at the heart of portfolio construction, asset allocation, and active management. The team of 600+ professionals manages over $2.5 trillion across commingled funds, separate accounts, and outsourcing solutions. As Vice President, Portfolio Manager, you join a global team delivering precise investment outcomes.

You will manage portfolios with physical and synthetic fixed income, equity, FX, funds, private markets, and commodities. Lead daily tasks like implementing strategies, handling client flows, FX hedging, rebalancing, and risk decomposition. Ensure mandates meet performance, guidelines, risk, and regulatory standards.

The MASS Portfolio Management team of around 100 works globally with regional alignment. Partner with CIOs, model managers, researchers on construction and new business design. Contribute to research, implementation, and PM platform enhancements.

BlackRock offers a founder-led culture where experienced, ambitious people tackle complex financial challenges. Work hard, fast, and with purpose in London, New York, San Francisco, and Asia Pacific. Grow through fiduciary integrity, curiosity, and intellectual problem-solving.

Requirements

  • Consistently put clients first and maintain integrity in every aspect of performance (Fiduciaries)
  • Like to learn new things and challenge the status quo (Curious)
  • Excited about growing skillset through solving problems (Intellectual)
  • Feel personal ownership and passion for the work with aspiration to be better (Accountable)
  • Drive things to completion (Finishers)
  • "Good enough" is simply not good enough (Exacting)
  • Value and respect input from others (Open)
  • Demonstrated experience in multi-asset portfolio management across fixed income, equity, and alternatives

Responsibilities

  • Manage portfolios comprised of physical and synthetic fixed income, equity, FX, funds, private markets and commodity exposures
  • Lead daily portfolio management tasks including implementing multiple investment strategies, handling client flows, FX hedging, rebalancing and monitoring positioning, and risk/performance decomposition
  • Ensure all mandates conform to performance expectations, investment guidelines, risk parameters, and regulatory requirements
  • Apply technology and analytical tools to improve processes, build scale and enhance investment decision-making
  • Work with analytics, risk, data, and other platform teams to drive operational improvements and contribute to systems/investment and trading process design
  • Participate in research related to portfolio construction, asset allocation, security selection, and other investment topics