Multi-Asset Portfolio Manager

Harbor Capital Advisors, Inc. - New York, NY

Hiring: Multi-Asset Portfolio Manager Company: Harbor Capital Advisors, Inc. Location: New York, NY Job Posted Time: 2026-09-17 09:41:07 Employment Type: Hybrid Target Skills & Keywords : CFA, Capital Markets, Derivatives, Equities, Fixed Income, LLM, Portfolio Management, Python, R, Risk Management, SQL About the job Experience: •7+ years of direct experience in buy side research including equities, FICC, multi-asset, asset allocation, capital markets research, macro strategy, or on a buy-side / sell-side trading desk; open to different levels of experience as we are willing to tailor the role to the right candidate Required Skills: •Generate cross-asset research, trade ideas, implementation views, and portfolio insights across equities, rates, commodities, and currencies •Contribute investment recommendations during strategy discussions and portfolio management meetings, balancing quantitative evidence with discretionary judgment •Leverage and enhance MAST's quantitative framework, including signal research, data analysis and portfolio construction tools •Build, maintain, and document code, models, and signal research for portfolio management and trade ideas •Use coding and quantitative methods to manage large data sets, test hypotheses, automate repeatable tasks, and translate results into actionable insights •Communicate clearly and articulately positioning and the team’s investment process to Harbor’s sales force and clients Qualifications: •Strong technical and quantitative skills; background in macroeconomics, capital markets, statistics, econometrics, data science, engineering, or other technical disciplines desired •Coding proficiency, ideally in Python and/or R, with experience using SQL/APIs, notebooks, data visualization, or workflow automation tools •Demonstrated ability to use quantitative research to evaluate signals, build models, manage data, and generate repeatable investment insights •Operational familiarity with AI/LLMs and workflow design to support research, synthesize information, create tools, and automate tasks •Excellent understanding of financial markets and drivers of returns across equities, rates, commodities and currencies •Strong written communication skills with experience writing about markets and investment related topics •Demonstrated capacity to create unique investment research, synthesize insights, and generate investment views that balance quantitative evidence with qualitative/discretionary judgment •Demonstrated ability to work both independently and as part of a team, drive results, collaborate across departments, and remain steady in times of adversity •Strong academic record - Bachelor's/University degree required; Master's degree and/or CFA, CAIA, or FRM preferred but not required •Knowledge of capital markets and how to make credible and thoughtful cross-asset investment recommendations Compensation: •$200,000 - $300,000 / year Interested candidates, please apply directly through the job posting on company's career page or try via AI auto apply on this platform. Don't miss this opportunity to join a forward-thinking team!