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Senior Portfolio Manager

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Logo of B. Riley Financial

B. Riley Financial

1001 - 5000 employees

Founded 1997

πŸ’Έ Finance

🏦 Banking

πŸ“‘ Telecommunications

πŸ’° $160M Post-IPO Debt - B. Riley Financial on 2025-02

Finance β€’ Banking β€’ Telecommunications

B. Riley Financial is a diversified holding company that provides complex, customized financial solutions for small-cap and middle-market companies. Its core financial services include capital markets, sales and trading, research, merchant banking, M&A advisory, restructuring, and wealth management (brokerage, investment management, insurance, tax preparation). In addition, the firm owns communications businesses (traditional, mobile and cloud phone, internet/data, security, email) and retail operations (mobile computing accessories and home furnishings), and it makes opportunistic equity, debt and venture investments to generate shareholder value.

πŸ“‹ Description

β€’ Assume management responsibility for a $200MM multi-asset portfolio of mutual funds and ETFs across 12 model portfolios β€’ Construct and maintain strategic and tactical asset allocations consistent with the objectives of each model, with and without alternatives β€’ Conduct ongoing due diligence on fund and ETF holdings; evaluate replacements and new additions as needed β€’ Monitor portfolio performance, risk metrics, and market developments; execute timely rebalancing decisions β€’ Prepare detailed investment reports and portfolio reviews for internal stakeholders and advisors β€’ Serve as the internal champion for the model portfolios, proactively marketing them to the firm's financial advisors β€’ Develop and deliver compelling presentations, commentaries, and materials that clearly articulate each model's strategy, positioning, and performance β€’ Build strong working relationships with advisors to drive adoption and address portfolio-related questions β€’ Contribute to broader firm strategy on products and services β€’ Translate complex investment concepts into accessible language tailored to advisors and clients β€’ Perform due diligence on ETFs and mutual funds with accompanying documentation and publication β€’ Stay current on macroeconomic trends, capital markets, and the evolving mutual fund and ETF landscape β€’ Identify opportunities to enhance portfolio construction, fund selection processes, and model design

🎯 Requirements

β€’ 8+ years of experience in portfolio management or investment management β€’ Demonstrated expertise in mutual fund and ETF selection, due diligence, and portfolio construction β€’ Experience with or exposure to alternative investment strategies within a model portfolio context β€’ Excellent written and verbal communication skills, including experience presenting to financial advisors and clients β€’ Self-starter with a proactive mindset and the ability to work independently β€’ Sound investment judgment, high integrity, and discretion with sensitive client and firm information

πŸ–οΈ Benefits

β€’ Competitive salaries β€’ Access to our 401(k) profit sharing retirement plan β€’ Paid holidays β€’ Vacation β€’ Sick leave β€’ Voluntary group medical insurance β€’ Dental insurance β€’ Vision insurance β€’ Company paid life and disability coverage

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