Responsible Investments Manager (Portfolio Integration) Hybrid
Core
Embed Environmental, Social and Governance (ESG) considerations across a diverse investment portfolio and asset classes to support sustainable long-term investment performance.
Role type
Senior IC responsible investment manager (portfolio integration)
Builds
ESG risk/opportunity analytics, automated reporting dashboards, and governance frameworks for a superannuation fund.
Domain
Superannuation / Institutional Asset Management / ESG
Deliverable
production ML models | dashboards & analysis
Required skills
ESG portfolio analysis, ESG risk analysis and due diligence, Python, R, SQL, Tableau, Power BI, advanced Excel, multi-asset class integration (property, real estate, private markets), ESG frameworks knowledge, investment committee and Board reporting
Preferred skills
Postgraduate qualifications in Finance/Economics/Sustainability/Data Science, direct experience in a superannuation fund or institutional asset owner, experience with stewardship and active ownership
Technologies
Python, R, SQL, Tableau, Power BI, Excel
Responsibilities
Lead ESG integration across diverse asset classes; Develop and enhance ESG analytics and automated reporting; Support investment decisions via ESG due diligence and risk assessments; Partner with investment teams and external managers on ESG practices; Monitor emerging ESG trends and regulatory developments; Prepare high-quality reporting for senior leadership and the Board; Develop and maintain ESG integration frameworks and policies.
Seniority
Senior, hands-on IC