Portfolio Manager

4 days ago


Brisbane, Queensland, Australia QIC Full time

About QIC

We are one of Australia's leading institutional investment managers, with over $100 billion in assets under management. Our presence spans four continents, seven offices, and assets across global markets.

Our Values

We believe in shared value, where delivering strong investment returns can go hand in hand with doing good for our clients, people, and communities. If we invest well, we will all do better together.

Life at QIC

We know that our people perform at their best when they feel a sense of belonging and are encouraged to bring their authentic selves to work every day. We provide a supportive work environment where everyone can thrive and feel valued for their meaningful contribution in delivering for the prosperity of our clients, people, and communities.

Our Diversity and Inclusion Strategy

We have employee-led networks that champion our diversity, equity, and inclusion strategy, which consists of five key pillars: Gender Equality, LGBTQ+, Accessibility, Cultural & Linguistic Diversity, and First Nations People.

Why Join Us?

  • Flexibility and hybrid options encouraged – certified Family Inclusive Workplace
  • Recharge leave - additional 3 days leave per year
  • Annual Fitness/home office reimbursement
  • Ability to swap public holidays for those of personal, cultural, or religious significance
  • 26 weeks gender-neutral paid parental leave
  • Financial study assistance and study leave
  • Community leave for supporting the causes you love
  • Development opportunities to extend, expand, and enhance your growth

About the Role

We are currently seeking a Portfolio Manager within our Public Markets Strategy team, which is a newly established position, designed to enhance the implementation of the Queensland State Government's externally managed listed investment program.

Key Responsibilities

  • Play a leading or major role in managing transitions for substantial cash flows.
  • Take charge of or significantly contribute to the commercial negotiations of legal agreements related to external manager investments.
  • Drive or significantly enhance efficiency in portfolio implementation and management, with an emphasis on optimising net returns.
  • Maintain a solid grasp of the underlying portfolio strategy and the desired outcomes.
  • Support internal operations, legal, and tax teams with inquiries regarding external manager investments.
  • Assist with activities related to performance attribution when required.
  • Collaborate with QIC internal teams to develop and enhance research and investment initiatives.
  • Aid in effectively communicating research findings internally and externally.

About You

You are a strategic thinker with a deep understanding of public markets, a proven ability to manage complex investment transitions, and a strong track record of collaborating across teams to drive efficiency and optimise portfolio outcomes.

Requirements

  • Degree qualifications in economics, finance, commerce, actuarial, or another relevant field.
  • Demonstrated experience in implementing equity, public market, and/or multi-asset portfolios.
  • Strong understanding of financial derivatives and performance and attribution models.
  • Knowledge and understanding of ex-ante risk statistics, unit pricing practices, Transaction Cost Analysis approaches.
  • Familiarity with industry standard documentation of investment mandates.
  • Well-developed written, verbal, and interpersonal communication skills, including demonstrated ability to establish and maintain productive and collaborative relationships with a wide range of stakeholders.
  • Knowledge of international data information systems, e.g. Datastream, Bloomberg, Factset, etc.

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