About the role
Reporting to: Head of Portfolio Strategy (co-Portfolio Manager) with close working relationship to the CIO
Who we’re looking for
We’re looking for a creative, technically minded Portfolio Management Associate to join our London-based portfolio management team. In this role you will design and build portfolio analytics and modelling tools (often from the ground up), helping to improve how we analyse private markets portfolios and make better, faster decisions. You’ll work closely with senior investment leadership, combining strong quantitative thinking with practical engineering skills across Excel/Python/VBA/Power BI, and a curiosity for how AI can enhance investment workflows.
About Future Growth Capital
Future Growth Capital is a specialist multi-private assets solutions business focused on unlocking access to private markets for UK pension schemes and savers. Built with the backing of Standard Life and Schroders, we combine an independent, open-architecture investment approach with an institutional-quality operating platform. Our objective is to deliver strong long-term outcomes for members through disciplined portfolio construction, rigorous analysis and high-quality implementation.
The base
This is a London-based role, with an expectation of being in the office at least four days per week. You’ll work in a small, agile team and will have regular access to senior investment leadership.
The team
You’ll join a collaborative portfolio management team that values curiosity, rigour and practical problem solving. The role suits someone who enjoys combining investment thinking with hands-on tool building, and who is comfortable working in a fast-moving environment where priorities evolve.
What you’ll do
- Build and enhance portfolio analytics and cashflow models for bespoke private markets portfolios across a range of private asset classes.
- Partner with leading private markets investment managers globally to translate strategy and fund-level inputs into portfolio-level cashflow, performance and risk analytics.
- Develop scalable tools and reporting (Excel/Python/VBA/Power BI) that improve portfolio analysis, asset allocation and decision-making.
- Apply statistical and quantitative methods (e.g., scenario/stress testing, sensitivities, factor and risk analysis) to generate robust insights and validate model outputs.
- Work closely with the CIO and Head of Portfolio Strategy to prioritise, deliver and continually improve the team’s modelling capability and analytical toolkit.
- Identify opportunities to use AI-enabled tools to improve workflows and insights, applying appropriate judgement around model risk and data sensitivity.
- Over time, broaden your responsibility in line with your strengths and interests, with the option to progress into a Portfolio Manager role (with accountability for investing portfolios within agreed guidelines) or to develop as a more senior quantitative lead.
The knowledge, experience and qualifications you need
- Master’s degree (or higher) in a quantitative discipline (e.g., Financial Engineering, Mathematics, Statistics, Econometrics, Physics, Computer Science, or similar), or equivalent demonstrable quantitative training.
- Strong quantitative modelling capability, preferably in private markets (portfolio analytics, cashflows, risk metrics and scenario/stress testing).
- Advanced tooling skills: Excel plus Python and/or VBA; experience producing clear outputs in Power BI (or similar).
- Proven ability to build and deliver new analytical tools end-to-end in a fast-moving environment.
- Interest in applying AI-enabled tools to improve analysis and automation, with appropriate judgement around model risk and data sensitivity.
The knowledge, experience and qualifications that will help
- Familiarity with private markets portfolio concepts and performance measurement (e.g., capital calls and distributions, cashflow modelling, liquidity management and metrics such as IRR, DPI and TVPI) and an ability to apply these in analytics and reporting.
- Experience building and maintaining analytical tools or dashboards used by others (including clear documentation and a focus on reliability).
- Experience using AI-enabled tools to improve analysis, automation or reporting (with appropriate judgement around model risk and data sensitivity).
- Proficiency with advanced Power BI capabilities (e.g., Power Query, DAX, and data modelling) or equivalent visualisation tooling.
What you’ll be like
- You enjoy solving ambiguous problems and can break them down into practical steps and deliverables.
- You can explain technical work clearly to non-technical stakeholders, including model assumptions, limitations and trade-offs.
- You work well with senior stakeholders and are comfortable asking questions, challenging respectfully and incorporating feedback.
- You’re curious and keep learning—especially as tools and best practices evolve.
We recognise potential, whoever you are
Our purpose is to provide excellent investment outcomes for clients through active management. Diversity of thought, supported by an inclusive culture, helps us make better decisions and better achieve our purpose. We are an equal opportunities employer and welcome applications regardless of age, disability, gender identity, religious beliefs, sexual orientation, socio-economic background or any other protected characteristics.
About Us
We\'re a global investment manager. We help institutions, intermediaries and individuals around the world invest money to meet their goals, fulfil their ambitions, and prepare for the future.
We have around 6,000 people on six continents. And we\'ve been around for over 200 years, but keep adapting as society and technology changes. What doesn\'t change is our commitment to helping our clients, and society, prosper.
Job Info
- Job Identification 1429
- Job Category Investment
- Posting Date 04/28/2026, 03:43 PM
- Job Schedule Full time
- Locations 1 London Wall Place, London, EC2Y 5AU, GB
About this listing
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