Sr Portfolio Manager, Dividend Income

Location
Boston, Massachusetts
Salary
Open / Negotiable
Posted
20 May 2021
Closes
19 Jun 2021
Ref
19389BR
Employment Type
Full Time
Education
Bachelors

Sr Portfolio Manager, Dividend Income

Job Description :

Responsible for investment performance and day to day portfolio management. Articulate and maintain a robust and consistent investment philosophy in managing the portfolios. Implement portfolio process, trading, client communications and product development. Work with Central Research for idea generation, monitor industry trends and contribute to team strategy discussions.

About Columbia Threadneedle :

Millions of people around the world rely on Columbia Threadneedle Investments to manage their money. We're intentionally built to help our clients succeed, backed by a global team of 2,000 people including more than 450 investment professionals sharing global perspectives across all major asset classes and markets. At Columbia Threadneedle, you’ll find the promise we make to our clients is the same one we make to our employees: Your success is our priority. In addition to our competitive total rewards package, employees stay with us because of our culture and commitment to their development. And, backed by the strength of our parent company, Ameriprise Financial, we are committed to providing you with the tools, resources, recognition and rewards to help you shape the career you want.

Ameriprise Financial is an equal opportunity employer. We consider all qualified applicants without regard to race, color, religion, sex, national origin, genetic information, age, sexual orientation, citizenship, gender identity, disability, veteran status, marital status, family status or any other basis prohibited by law.

Responsibilities :

  • Responsible for investment performance and day to day portfolio management for specific investment strategy. Articulate and maintain a robust and consistent investment philosophy in managing the portfolios.
  • Implement portfolio process, trading, client communications and product development.
  • Effectively conduct and manage research and draw upon the resources of research analysts, as well as other primary and secondary research sources, in making portfolio decisions. Works closely with the centralized research team responsible for the proprietary models used in the portfolio management process.
  • Monitor industry trends and contribute to team strategy discussions.
  • Meet periodically with clients to perform strategy overviews and performance updates.

Required Qualifications :

  • Bachelors degree or equivalent
  • 10+ years experience in the investment sector, including managing a significant amount of assets for the firm
  • Ability to participate in internal strategy meetings and round table discussions, while clearly articulating an investment process and strategy in a group setting
  • Ability to quickly analyze investment quality and respond to requests in a timely manner
  • Quantitative and qualitative analytical skills to perform investment analysis, including proficiency with software tools such as Word, Excel, and quantitative modeling tools
  • Ability to travel occasionally

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