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Senior Portfolio Manager (Multi-Asset & Discretionary, Turkey On-Site)

Job Description

About the Opportunity

Nizmara is a trusted executive search and talent acquisition partner serving organizations across Turkey, the Middle East, and Europe. We combine deep sector expertise with real business experience to deliver high-impact recruitment solutions for leadership and mission-critical roles. Our consultants bring senior-level industry backgrounds and a consultative mindset, enabling us to understand both the strategic and operational priorities of our clients. This allows us to go beyond traditional recruitment and act as true advisors throughout the talent acquisition journey. We specialize in key sectors including Technology, Financial Services, Banking & Insurance, Healthcare & Life Sciences, E-commerce & Retail, Construction, Engineering, and Manufacturing. Through tailored search strategies, strong networks, and a results-driven approach, we connect exceptional talent with forward-thinking organizations to drive sustainable business success.

Responsibilities

  • Manage the company’s investment funds and discretionary portfolios for both individual and institutional clients
  • Monitor market conditions and formulate, implement, and refine investment strategies
  • Track, analyze, and report portfolio performance
  • Conduct macroeconomic, sector, and company-level research to support investment decision-making
  • Optimize portfolio allocation within the risk management framework
  • Communicate portfolio strategy and market views clearly to internal stakeholders and clients where required

About You

Bachelor’s degree from a reputable university in Finance, Economics, Engineering, Business Administration, or a related discipline. MBA or Master’s degree is a plus. 10+ years of experience, including at least 4 years of direct portfolio or fund management responsibility. Proven track record in managing globally diversified multi-asset portfolios across fixed income, equities, alternatives, and international markets. Strong exposure to international capital markets, particularly foreign bonds, Eurobonds, and global fixed-income products. Demonstrated ability to make independent buy/sell/allocation decisions. Strong understanding of asset allocation frameworks and portfolio construction. Solid expertise in macroeconomic and market analysis. Experience managing individual and institutional discretionary mandates is strongly preferred. Candidates from treasury, asset management, or wealth management backgrounds will be considered, provided they have held direct investment decision-making responsibility. Pure trading backgrounds will not be considered unless complemented by broader asset allocation and portfolio management experience. Excellent command of written and spoken English. CMB Level 3 License and Derivative Instruments License.

Benefits

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About Company

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