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Senior Fund Manager – Multi-Asset F/M

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Vacancy details

General information

Business Unit (logo)

Reference

2026-433  

Position description

Business unit

Investment Management - Multi-Asset

Job title

Senior Fund Manager – Multi-Asset F/M

Contract type

Permanent

Candriam Group Presentation

Candriam is a global multi-specialist asset manager and a recognized pioneer and leader in sustainable investment. For more than 25 years, Candriam has offered innovative and diversified investment solutions across many asset classes including fixed income, equities, absolute return, asset allocation and illiquid assets.

 

As a Responsible Employer, Equal Employment Opportunity is crucial to Candriam. We are committed to building the best global team that represents a variety of backgrounds, perspectives, and skills. We provide an inclusive work environment and support wellbeing and work-life balance.

Mission

Candriam is seeking an experienced Senior Fund Manager – Multi-Asset to join its Investment Management team. This strategic role focuses on the management of Candriam’s flexible multi-asset strategies and direct-line portfolios, while playing a key role in shaping the firm’s asset allocation views and investment positioning. Working within an established and collaborative investment framework, you will contribute to delivering consistent, risk-adjusted performance across market environments through active portfolio management, macroeconomic analysis, and investment idea generation.

Responsabilities

Key Responsibilities:

  • Manage and develop flexible multi-asset portfolios and diversified allocation strategies.
  • Contribute actively to Candriam’s strategic and tactical asset allocation decisions across equities, fixed income, credit, currencies, and alternative asset classes.
  • Generate, assess, and implement high-conviction investment ideas based on macroeconomic, market, and valuation analysis.
  • Participate actively in investment committees, presenting and defending investment views and portfolio recommendations.
  • Translate macroeconomic themes and market developments into actionable portfolio decisions.
  • Monitor portfolio performance, risk exposures, and attribution, ensuring alignment with investment objectives and risk budgets.
  • Collaborate closely with economists, strategists, fund managers, risk teams, and ESG specialists to enhance investment outcomes.
  • Contribute to investment communications and support client-facing teams with market insights and portfolio commentary when required.
  • Ensure rigorous adherence to Candriam’s investment process while bringing independent thinking and new perspectives to the team.

Profile

Master's degree in Finance, Economics, or a related discipline; CFA or equivalent qualification is considered an advantage.

• Minimum 7–10 years of experience in asset management with a proven track record in managing diversified or multi-asset portfolios.
• Strong expertise in macroeconomic analysis, financial markets, and cross-asset investment strategies.
• Demonstrated experience contributing to asset allocation decisions within an institutional investment framework.
• Ability to formulate, articulate, and defend investment convictions in investment committees and collaborative decision-making forums.
• Solid understanding of portfolio construction, risk management, and performance analysis.
• Excellent analytical capabilities combined with a disciplined and structured investment approach.
• Strong communication and presentation skills, with the ability to convey complex investment topics clearly and concisely.
• Fluent English required; additional European languages are a plus.

#LI-POST

Position location

Job location

Europe, Luxembourg

City

Luxembourg

Candidate criteria

Education

4. Master's Degree II / Bac+5

Minimum level of experience required

6-10 years

Languages

English (C1 - Fluent)


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