Portfolio Controller - Leading European Asset Manager
Job Description
A leading independent European asset manager with a strong London presence and a long track record across global equities, fixed income, and multi-asset investing. The business has a collegiate, high-accountability culture and offers genuine visibility across the investment and finance teams.
\nThis is a broad Portfolio Controller position sitting at the heart of the fund’s financial operations. You will take ownership of back-to-front trade support, fund-level reporting, NAV oversight, and regulatory reporting, working closely with portfolio managers, finance, external administrators, and other key stakeholders.
\nResponsibilities
\n- \n
- Trade support across all traded products; credit, bonds, equities, fixed income, and derivatives. \n
- Oversight of NAV and fund-level reporting. \n
- Review of investor reports and performance packs. \n
- Liaison with external fund administrators, auditors, and depositaries. \n
- Reconciliations, cash management, and treasury support. \n
- Support on regulatory reporting and fund controls. \n
- Close collaboration with portfolio managers on P&L and portfolio reporting. \n
- Process improvement, service provider oversight, governance, and project work are all key parts of the role. \n
Requirements
\n- \n
- 5+ years’ experience in investment operations, asset management experience preferable. \n
- Good working knowledge of NAV processes, reporting, and controls \n
- Strong fixed income & derivatives exposure would be an advantage \n
This is a high-visibility role with real ownership, broad exposure, and the chance to join a well-respected European platform in a collaborative environment. Candidates with experience within smaller, more nimble environments are encouraged to apply.
