Portfolio Manager (Buy-Side)
MercorDescription
We are hiring experienced Portfolio Managers to contribute their expertise in portfolio construction, risk management, and investment strategy toward building advanced AI systems for institutional investing.
Key Responsibilities
-
Provide high-level input on portfolio construction and asset allocation
-
Evaluate AI-generated portfolio strategies and risk frameworks
-
Assess investment decisions across multiple asset classes
-
Guide model development with real-world portfolio management insights
-
Stress-test strategies under different market conditions
-
Contribute to training data and evaluation frameworks
Requirements
-
8+ years in investment management, with 5+ years as a PM or Co-PM
-
Proven track record managing institutional or HNW portfolios
-
Strong expertise in portfolio optimization, risk management, and alpha generation
-
Deep understanding of market dynamics and macro drivers
-
Excellent judgment and decision-making ability
Nice to Have
-
CFA or MBA
-
Experience managing multi-asset or global portfolios
-
Familiarity with quant or data-driven investment approaches
Why Join
-
Help build the future of AI-driven asset management
-
Flexible, expert-level engagement
-
Influence cutting-edge systems used by next-gen investment platforms
Interested in this position?
Apply directly on the company's website