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Portfolio Solutions Specialist
The Portfolio Solutions Specialist supports the implementation and management of customized investment mandates at Itaú Asset Management and is responsible for the precise setup of portfolios, cash management, and compliance with investment policies. The role requires close collaboration with various teams to optimize portfolio performance and minimize operational risks.
Job description
The Portfolio Solutions Specialist plays a key role in supporting the implementation, operational integrity, and scalability of customized investment mandates within Itaú Asset Management. This position is responsible for ensuring accurate portfolio configuration, cash management, and compliance with investment guidelines, while driving automation and process efficiency to minimize operational risk and optimize portfolio performance.Tasks
- Support the implementation and onboarding of exclusive mandates, SMAs (Separately Managed Accounts), and managed portfolios to ensure accurate configuration and operational readiness.
- Execution and monitoring of cash management activities, including cash reconciliation and financial adjustments, which directly impact portfolio performance.
- Conducting position and cash controls to ensure data accuracy, integrity, and alignment with investment strategies.
- Ensuring that portfolios and funds remain in compliance with internal guidelines, regulatory requirements, and investment mandates.
- Collaborate with portfolio managers and trading teams to support day-to-day portfolio operations and efficiently resolve operational issues.
- Developing and improving analytical tools, controls, and automation solutions using Excel, SQL, and Python to enhance scalability, efficiency, and risk mitigation.
- Identifying opportunities to streamline and automate operational processes in order to reduce manual intervention and operational risks.
- Serves as the operational and analytical liaison between business, data, technology, and processing teams.
- Contribute to continuous improvement initiatives focused on operational excellence, control effectiveness, and scalability.
Requirements
- A degree in economics, engineering, business administration, computer science, or a related field.
- Strong proficiency in Excel (advanced), SQL, and Python programming for analytical and automation purposes.
- A solid understanding of portfolio management concepts, investment products, and financial markets.
- Experience with portfolio, position, and cash controls in asset management or similar financial environments.
- Ability to work in high-pressure, time-sensitive environments with a strong attention to detail and awareness of risks.
- Strong analytical, problem-solving, and collaboration skills.
- Advanced English skills are required for interacting with internal and international stakeholders. Portuguese is a plus.
- CGA or CFA certification, or in the process of obtaining it.
We offer
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