Join Scalable Capital’s Investment Management team and shape the investment strategies of one of Europe’s leading digital wealth managers. We combine rigorous research with modern technology to deliver scalable, data-driven investment solutions for retail clients. As a Quant Portfolio Manager, you will play a key role in managing our investment strategies, refining portfolio processes, and driving systematic, disciplined portfolio management at scale with several €bn of assets under management.
-
Refine and manage globally diversified multi-asset ETF portfolios within Scalable Wealth’s discretionary mandates.
-
Contribute to the design and implementation of strategic and tactical asset allocations across major asset classes.
-
Conduct portfolio reviews, performance analyses, and risk assessments to ensure robust and consistent portfolio outcomes.
-
Evaluate and select ETFs based on quantitative and qualitative criteria.
-
Maintain and enhance Python-based analytical tools for portfolio construction, rebalancing, and trade execution analysis.
-
Collaborate closely with Financial Engineering, Trading, and Data Engineering teams to improve data pipelines and analytical workflows that support portfolio management.
-
Communicate investment decisions and portfolio insights to clients, internal stakeholders and external partners.