Job offer
University Graduate – Multi-Asset Portfolio Manager (Full-Time)
The Julius Baer Group is seeking a university graduate to serve as a Multi-Asset Portfolio Manager, who can specialize in asset management and become part of a dynamic team. The ideal candidate should hold a master’s degree in finance, economics, or a related field and have a passion for wealth management and global markets.
Job description
University Graduate – Multi-Asset Portfolio Manager (Full-Time)Tasks
As part of the Multi-Asset Portfolio Management team, we offer you a unique opportunity to work at the heart of the bank’s investment engine, alongside experienced professionals who share a strong culture of collaboration, intellectual rigor, and disciplined decision-making. This role offers broad exposure to global markets, innovative investment strategies, and cross-asset interactions, allowing you to develop a comprehensive understanding of portfolio construction in a dynamic environment.What we offer
- Tailored career path: Develop expertise in your chosen field while growing personally and professionally
- Global perspective: Gain international experience and work with diverse teams
- Community & Mentorship: Learn from industry leaders and peers, and build a strong network
- Impactful work: Contribute to projects that make a real difference from the outset
Your challenge
During the program, you will:- Gain practical experience navigating complex and fast-paced global markets by learning to translate coherent strategic and tactical allocations across asset classes, investment ideas, and performance into investment decisions
- Work closely with experienced portfolio managers and strategists, and benefit from mentorship and exposure to best-practice investment processes
- Learn to articulate investment rationale in a clear and structured manner, and improve communication skills through presentations, investment committee materials, and discussions with internal stakeholders
- Become a key contributor within the investment team by learning to collaborate across functions such as research, advisory, product teams, and risk management, and by building a strong internal network
Your profile
- Master’s degree from a university or university of applied sciences with above-average grades in finance, economics, banking, or a finance-focused program (degree must have been earned within the last 12 months)
- Initial practical experience in the financial industry and expertise in banking products and financial markets are a plus
- A passion for wealth management and a desire to create value beyond mere wealth
- Excellent interpersonal, communication, and presentation skills
- Entrepreneurial mindset, combined with a willingness to take on responsibility
- A global perspective, excellent interpersonal skills, and a strong desire to learn
- Fluent in German and English; knowledge of additional languages is a plus
- Permission to work in the country you are applying for
Job details