Portfolio Manager – Equity Indexing Solutions
Join to apply for the Portfolio Manager – Equity Indexing Solutions role at BCV – Banque Cantonale Vaudoise
Portfolio Manager – Equity Indexing Solutions
1 week ago Be among the first 25 applicants
Join to apply for the Portfolio Manager – Equity Indexing Solutions role at BCV – Banque Cantonale Vaudoise
Start the next chapter of your career at BCV
Join Vaud’s leading full-service bank and contribute to the success of one of the world’s most solid banking institutions, rated AA by Standard & Poor’s since 2011. Alongside our 2,000 employees, you will contribute to our mission to help the local economy grow and prosper in the Vaud region and in Switzerland.
As part of our asset management and trading division, you will contribute to the growth of a new indexing platform in Swiss asset management as an experienced professional.
Role Overview
Portfolio Manager – Equity Indexing Solutions
In this role, you will manage a range of passive equity investment portfolios – including mutual funds and institutional mandates. As part of the indexing team, you will play a key role in delivering consistent index-tracking performance, optimizing implementation, and contributing to the continuous development of our indexing platform.
This full-time position is based in Lausanne or Zurich and requires proficiency in both French and English. German language skills would be a plus.
Your Responsibilities
- Manage and monitor passive equity portfolios (funds and segregated mandates) focusing on global indices.
- Ensure accurate index replication and performance tracking, with attention to risk, compliance, and operational excellence.
- Implement index rebalancing and corporate action processing efficiently and accurately.
- Collaborate closely with trading, operations, risk, and client relationship teams.
- Contribute to the enhancement of indexing processes, tools, and models to improve scalability and precision.
- Support business development and client servicing activities with technical portfolio expertise.
- Stay updated on market developments, index methodology changes, and regulatory evolutions.
Your Profile
- At least 5 years of experience in index portfolio management or a related passive investing role.
- Strong knowledge of equity markets, index construction, and passive portfolio implementation techniques.
- Solid experience with international equity indices.
- Experience managing currency hedging for equity portfolios.
- Proficiency with portfolio management systems and tools (including Bloomberg); programming skills are a plus.
- Strong quantitative and analytical skills with attention to detail.
- AZEK CIIA, CFA certification, or equivalent.
- Comfortable working in a French-speaking environment; good command of English; German is an asset.
- Team-oriented, proactive, and highly organized.
Ready to shape the future of passive investing? Apply today and help us write the story of our bank.
#J-18808-Ljbffr

Kontaktperson:
Banque Cantonale Vaudoise HR Team