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, alternatives, 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.
We are looking for an experienced Senior Fund Manager to help manage and develop global equity strategies focused on the environmental transition.
The role sits at the intersection of fundamental stock selection, quantitative investing and sustainable finance. It covers themes such as decarbonization, resource efficiency, sustainable infrastructure, clean mobility, the circular economy and environmental technologies.
We are seeking a modern investor with at least 7 to 10 years of equity portfolio management experience, strong company analysis and portfolio construction skills, and proficiency in systematic or factor-based approaches. The ability to use data, quantitative tools and artificial intelligence to enhance research, operational efficiency and decision-making will be important.
Master's degree in finance, economics, engineering, applied mathematics or an equivalent discipline.
CFA designation or an equivalent professional qualification is an advantage.
Experience and technical expertise:
A minimum of 7 to 10 years of successful equity portfolio management experience.
Demonstrated experience managing global or international strategies.
Strong expertise in the fundamental analysis of listed companies.
Proficiency in quantitative, systematic or factor-based investment approaches.
Knowledge of environmental transition themes and ESG investment universes.
Sound understanding of portfolio construction and risk management techniques.
Proficiency with financial analysis tools and market databases.
Fluency in English plus French or Dutch.
The successful candidate will combine analytical rigour, investment conviction, curiosity, creativity, adaptability and strong interpersonal skills.
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3. Master's Degree I / Bac+4