Associate Portfolio Manager Programme

June 25, 2026

Job Overview

  • Date Posted
    June 25, 2026
  • Location
  • Expiration date
    September 25, 2026

Job Description

Job Description

Job Title: Associate Portfolio Manager Programme

Job Description: As a participant in an Associate Portfolio Manager Programme at a globally established quantitative investment management firm, you will follow an exceptional pathway designed for high-potential buy-side investors, outstanding sell-side trading talent, or world-class quantitative analysts — applying expertise in risk management, investment thesis development, and quantitative portfolio strategy to build a career at a globally respected trading and investment firm.

Responsibilities:

  • Follow an exceptional pathway for high-potential buy-side investors, outstanding sell-side trading talent, or world-class quantitative analysts
  • Apply and develop expertise in risk management — continuously assessing the merits of all positions and investment theses
  • Implement robust risk management disciplines across investment portfolio strategies
  • Appreciate entrepreneurial risk-taking — applying a desire to build and grow investment strategy with genuine intellectual curiosity
  • Collaborate with senior portfolio managers on investment research, quantitative model development, and portfolio construction
  • Conduct rigorous quantitative analysis, backtesting, and investment thesis evaluation for portfolio strategy development
  • Contribute to the firm’s investment research community — sharing insights and collaborating across trading and quantitative teams
  • Develop foundational and advanced portfolio management skills through structured programme mentoring

Qualifications Needed:

  • High-potential buy-side investor, outstanding sell-side trading talent, or world-class quantitative analyst background — ideal profile for this programme
  • Deep appreciation for entrepreneurial risk-taking with desire to build and grow investment strategy
  • Strong quantitative, statistical, and financial markets analytical skills
  • Excellent investment thesis development and risk management capabilities
  • Advanced degree in Mathematics, Statistics, Physics, Computer Science, Finance, or equivalent preferred
  • Dubai-based or willing to relocate for the programme

What the Company Offers:

  • Associate Portfolio Manager Programme at a globally established quantitative investment management firm in Dubai
  • Exceptional pathway for buy-side investors, sell-side traders, and quantitative analysts at a two-decade-proven investment firm

Are you interested in this position? Apply by clicking on the “Apply Now” button below!

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