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Senior Manager - Portfolio

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: British Business Bank plc
Full Time, Part Time, Per diem position
Listed on 2026-01-27
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Manager, Portfolio Manager
  • Management
    Risk Manager/Analyst, Financial Manager, Portfolio Manager
Salary/Wage Range or Industry Benchmark: 80000 - 87500 GBP Yearly GBP 80000.00 87500.00 YEAR
Job Description & How to Apply Below
Location: Greater London

Senior Manager - Portfolio

Final date to receive applications: 29 January 2026

Department: Portfolio Management

Employment Type: Fixed Term Contract

Location: London

Compensation: £80,000 - £87,500 / year

Senior Manager - Portfolio

Location: London / Hybrid Working (Expectation that you will attend an office 2 days per week)

Contract: 6 Month Fixed Term

Hours: Full time 37.5 hours per week/flexible days and/or hours (Mon-Fri)

Salary: £80,000 - £87,500 depending on experience

  • 30 days annual leave plus bank holidays, opportunity to buy and sell up to 5 days holiday
  • 15% employer pension contribution
  • Flexible working
  • Cycle to work scheme, healthcare cash plan, Group Income Protection and life assurance
  • Paid voluntary days, maternity, paternity, adoption, and shared parental leave
  • Benefits designed to suit your lifestyle - from discounts on retail and dining, to health and wellbeing, travel, and technology and plenty more

In this role, you will lead the delivery of robust governance and reporting across the Investment Business, including the monthly Executive Committee, Quarterly Board, and Portfolio Review processes. With responsibility for producing clear, high-quality reporting for both internal stakeholders and external clients, you will also be required to respond to information requests and ensure consistency, accuracy, and adherence to governance requirements.

You will also work closely with colleagues across portfolio operations and the wider business, and oversee portfolio monitoring, shareholder matters, and variation requests, ensuring these are appropriately assessed, documented, and approved.

Driving continuous improvement across investment processes, systems, and data quality is also a key requirement of this role and will include enhancing investment origination practices, developing scalable and insightful portfolio reporting, and delivering improvements to workflows, CRM systems, and the wider technology stack.

You will lead the implementation of the Responsible Investment Policy, help to build ESG capability, identify and deliver effective technology solutions, and represent the organisation externally when required, as well as contribute flexibly to a range of investment activities in support of the organisation's wider strategic objectives.

Significant experience working within Venture Capital, Private Equity, direct investment, fund investing and/or fund of funds, you will also be able to demonstrate good commercial judgement, and the ability to handle large and complex data sets. Previous experience in managing the reporting and analysis of fund and direct investments is also essential, as is an understanding of financial accounts and reporting.

View the full job description.

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Position Requirements
10+ Years work experience
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