Aviva Investors
Jobs at Aviva Investors
Search the 19 jobs at Aviva Investors
Recently posted jobs
The Global Equities, Technology Analyst will join the Equity team to conduct sectoral coverage, specifically in technology. Responsibilities include collaborating with fund managers, performing equity research, financial modelling, and company valuations, while emphasizing ESG analysis.
The Senior Manager Controls Assurance will oversee the delivery of the AAF Internal Controls Report and manage ongoing engagement with the business on controls testing. Responsibilities include representing the Head of Controls Assurance, managing deficiencies, drafting assessments, and supporting planning and reporting activities.
The Head of ESG Integration – Equities at Aviva Investors will develop and execute ESG integration strategies within equities, enhancing investment performance through high-quality ESG research. This role involves collaboration with portfolio managers and equity analysts, mentoring staff, and leading a team to promote Aviva's ESG vision.
The ESG Reporting Lead will implement the ESG Regulatory Reporting operating model and standard methodologies. Responsibilities include managing ESG regulatory reporting development, facilitating AI business forums, and ensuring effective risk management within agreed risk appetites.
The Derivatives Data & Technical Oversight Analyst role involves providing derivative setup support for the Aladdin user community, ensuring correct setup of derivative assets, assisting in OTC trade booking, and onboarding new OTC instruments. The analyst must maintain investment data quality while working under tight deadlines.
The Presentation Specialist will manage the creation and management of client and capability presentations. Responsibilities include template design, production, compliance, and ensuring accurate data in product literature while adhering to brand guidelines. Strong communication skills and attention to detail are essential for collaboration with stakeholders.
The Operational Change Manager will analyze, manage, and implement changes to processes in investment operations at Aviva Investors. Responsibilities include documenting solutions, testing, and overseeing governance of the change pipeline, while identifying efficiencies and risk reduction across operations.
The Senior Digital Marketing Executive will support the execution and optimization of digital marketing campaigns across social media, email, and search, ensuring alignment with strategic goals. Responsibilities include tactical adjustments, monitoring campaign performance using analytics tools, and collaborating with different teams to enhance customer experiences through effective digital marketing initiatives.
As a Liquidity Portfolio Manager, you will manage EUR and USD Liquidity Funds and bespoke short-term money market funds. You'll work closely with portfolio managers and analysts, contributing to investment strategies while managing risk. Building strong relationships within and outside of the team is crucial for success.
The Fund Finance Analyst will support fund finance activities for Private Markets, assisting in the setup of new funds and providing analytical support, while collaborating with various teams and preparing strategic presentations.
As a Senior Analyst in Sustainable Investing, you'll oversee the robustness of sustainable research for Aviva Investor's funds, ensure alignment with sustainable objectives, manage thematic research programs, and mentor junior team members while navigating regulatory and reputational risks.
The role involves leading and managing data strategy for Private Markets at Aviva Investors. Responsibilities include developing and implementing strategies for data optimisation, ensuring data-driven decision-making, and improving data management practices while collaborating with various teams.
The Head of EMEA Institutional Client Relationship Management will lead a team focused on delivering exceptional client service to institutional clients, ensuring high client satisfaction, retention, and opportunities for cross-selling. Responsibilities include managing Client Relationship Directors and Managers, developing internal relationships, and executing effective relationship management strategies.
The Senior Strategist will design and implement tailored investment strategies for global insurance clients, integrating their mandates into portfolio management, and assessing market changes to enhance the insurance franchise.
This role involves supporting risk and control assurance for Aviva Investors Finance, ensuring effective risk management, oversight of the Financial Reporting Control Framework, and enhancing the control environment. Responsibilities include control design, testing, management of risk events, and contributing to team projects.
The Emerging Risk and Capital Manager will develop and maintain frameworks related to emerging risk and capital within an asset management context. Responsibilities include quantifying operational risk capital requirements, completing risk modeling, and identifying potential emerging risks while providing recommendations. The role involves collaboration across business lines and integrating insights from market knowledge and regulators.
The Finance Oversight Analyst will provide leadership and oversight for relationships with outsourced service providers, ensuring support for the Private Markets business and managing lending/investment functions. The role includes onboarding new asset classes, coordinating supplier relationships, and engaging with new suppliers as needed.
The ESG Credit Analyst will support the Credit Team by conducting high quality ESG research, identifying ESG risks and opportunities, developing financial models, and engaging with issuers on ESG issues. The role entails collaboration with investment teams to enhance ESG outcomes for clients, contributing to the firm’s strategic ESG objectives, and assisting in client engagements to address ESG-related queries.
The Senior Counsel will support Aviva Investors' growth strategy by focusing on infrastructure investment, particularly in managing debt and leveraged equity transactions. The position requires experience in UK and European infrastructure and project finance, along with problem-solving skills in complex transactions.