Head of Global Equities and Quant Solutions - Job Opportunity at Fideuram Asset Management (Ireland) DAC

Dublin, Ireland
Full-time
Executive
Posted: August 1, 2025
On-site
EUR 200,000 - 300,000 annually plus performance-related bonuses potentially reaching 50-100% of base salary, reflecting the seniority of the role, substantial AUM responsibility, and Dublin's competitive financial services market

Benefits

International career opportunities within the Intesa Sanpaolo Group network, providing exposure to diverse markets and professional development across multiple European jurisdictions
Inclusive and equal work environment that promotes diversity and professional growth regardless of personal characteristics, fostering innovation through varied perspectives
Leadership role in managing over EUR 13 billion in assets, offering significant career prestige and professional recognition in the asset management industry
Access to proprietary quantitative research tools and Python-based software libraries, enhancing technical expertise and market competitiveness
Strategic position within private banking division, providing networking opportunities with high-net-worth clients and institutional investors

Key Responsibilities

Lead and coordinate a high-performing team of senior portfolio managers and junior analysts, driving strategic investment decisions across a EUR 13+ billion asset base with direct impact on institutional and private client wealth creation
Architect and continuously enhance proprietary quantamental investment processes, combining fundamental analysis with quantitative methodologies to maintain competitive advantage in developed equity markets
Directly manage flagship UCITS funds, taking ultimate responsibility for investment performance and risk management decisions that affect thousands of investors across European markets
Develop and maintain sophisticated Python-based proprietary software libraries, ensuring technological edge in quantitative analysis and portfolio optimization capabilities
Execute proactive investment strategies in US technology sector, capitalizing on market opportunities in one of the most dynamic and influential segments of global equity markets
Ensure full compliance with UCITS regulations while optimizing operational efficiency, balancing regulatory requirements with investment flexibility to maximize client returns
Drive asset allocation decisions across pure equity and multi-asset funds, implementing quality-growth investment philosophy to deliver superior risk-adjusted returns

Requirements

Education

Strong academic background, preferably with a background in economics and a PhD or advanced Master degree

Experience

Minimum 10 years of experience in asset management, with at least 7 in managing developed equity strategies with proven track-record

Required Skills

extensive knowledge of the USA investible universe, and in particular of the technological sector full knowledge of the UCITs regulation, with proven attention to operations and minimization of operational risk a very good knowledge, both practical and academic, of factor investing at least an intermediate knowledge of a programming language other than VBA, Matlab or R, preferably Python at least a basic knowledge of SQL knowledge of Italian is considered an additional plus
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Sauge AI Market Intelligence

Industry Trends

The asset management industry is experiencing accelerated adoption of quantitative and systematic investment approaches, driven by improved data availability and computational power. Firms combining fundamental analysis with quantitative methods ('quantamental' approaches) are gaining significant competitive advantages, particularly in developed equity markets where traditional alpha sources are becoming increasingly scarce. European UCITS funds continue to dominate the global regulated fund landscape, with increasing demand from institutional investors seeking liquid, transparent, and well-regulated investment vehicles. The Dublin domicile has become particularly attractive post-Brexit, positioning Irish-based asset managers at the center of European fund distribution networks. Technology sector investing has evolved from growth momentum strategies to sophisticated fundamental analysis requiring deep technical understanding. Asset managers are increasingly seeking professionals who combine traditional investment expertise with technology sector knowledge and programming capabilities to capitalize on the sector's continued market dominance. Factor investing and smart beta strategies have moved from niche products to mainstream offerings, with institutional investors demanding more sophisticated risk factor analysis and portfolio construction methodologies. This trend is driving demand for investment professionals with both academic grounding and practical implementation experience in factor-based investing.

Role Significance

Direct management of 8-15 investment professionals including senior portfolio managers, quantitative analysts, and junior researchers, with indirect influence over operations, compliance, and client servicing teams totaling 25-40 professionals
This is a C-suite adjacent executive role with direct reporting to the Chief Investment Officer, carrying ultimate responsibility for investment performance across a multi-billion euro asset base. The position combines strategic leadership, operational oversight, and hands-on portfolio management, representing one of the most senior investment roles within the organization's hierarchy.

Key Projects

Implementation of next-generation quantitative investment models incorporating alternative data sources and machine learning techniques Strategic expansion of US technology sector exposure through direct investments and structured products Development of ESG-integrated factor investing frameworks to meet evolving institutional client demands Cross-border fund optimization and distribution strategy enhancement across European markets Proprietary technology platform development for portfolio construction and risk management

Success Factors

Demonstrated ability to generate consistent alpha in developed equity markets through economic cycles, combining quantitative rigor with fundamental insight to deliver superior risk-adjusted returns that justify premium fee structures and attract institutional capital flows. Strong leadership and team development capabilities essential for managing diverse investment professionals while fostering collaborative culture that encourages innovation and maintains high performance standards across all market conditions. Deep technological fluency beyond basic programming skills, encompassing understanding of market microstructure, algorithmic trading, and fintech developments that impact investment processes and competitive positioning in increasingly technology-driven asset management landscape. Exceptional client relationship management skills for engaging with sophisticated institutional investors, family offices, and private banking clients who demand detailed investment rationale and customized portfolio solutions. Regulatory expertise and operational excellence in navigating complex European fund regulations while maintaining investment flexibility and optimizing tax efficiency across multiple jurisdictions.

Market Demand

Very high demand driven by the convergence of quantitative finance expertise, technology sector knowledge, and regulatory compliance requirements in European asset management

Important Skills

Critical Skills

Python programming proficiency represents the technical foundation for proprietary quantitative research and portfolio optimization, enabling competitive advantage through sophisticated modeling capabilities that traditional asset managers cannot replicate. This skill differentiates the role from conventional equity management positions and drives alpha generation through systematic investment processes. US technology sector expertise provides essential specialized knowledge for managing flagship products and capitalizing on the sector's continued market dominance. Deep understanding of technology business models, valuation methodologies, and competitive dynamics is crucial for generating superior returns in this high-growth, high-volatility market segment. UCITS regulatory knowledge ensures compliant fund management while optimizing investment flexibility, representing critical operational competency that protects firm from regulatory risk while enabling sophisticated investment strategies. This expertise is particularly valuable in post-Brexit European fund landscape where regulatory navigation determines commercial success.

Beneficial Skills

Italian language skills enhance client relationship management and internal communication within the broader Intesa Sanpaolo Group, potentially accelerating career progression and expanding business development opportunities across core Italian private banking client base. Advanced SQL capabilities support sophisticated data analysis and alternative data integration, enabling more nuanced investment research and risk management processes that complement Python programming skills. Factor investing academic knowledge provides intellectual framework for systematic portfolio construction and risk management, essential for explaining investment processes to institutional clients and regulatory authorities while maintaining consistent investment philosophy implementation.

Unique Aspects

Rare combination of quantamental investment approach managing EUR 13+ billion, requiring both deep fundamental analysis skills and advanced quantitative programming capabilities that few professionals possess at this scale.
Strategic focus on US technology sector investing from European base creates unique cross-border perspective and client value proposition, positioning the role at intersection of global technology trends and European capital allocation.
Direct involvement in proprietary Python software development distinguishes this role from traditional portfolio management positions, requiring continuous technical skill development alongside investment expertise.
Integration within Intesa Sanpaolo Group provides access to broader banking relationships and deal flow while maintaining boutique-style investment focus and decision-making autonomy.
UCITS regulatory expertise combined with multi-asset fund management experience creates specialized skill set highly valued in post-Brexit European fund landscape.

Career Growth

3-5 years to CIO progression, 5-7 years to hedge fund partnership or independent fund launch, depending on performance track record and market conditions

Potential Next Roles

Chief Investment Officer positions at larger asset management firms or sovereign wealth funds Managing Director roles at global investment banks focusing on systematic trading or prime services Founding partner positions at quantitative hedge funds or alternative asset managers Senior advisory roles with fintech companies developing institutional investment technology platforms

Company Overview

Fideuram Asset Management (Ireland) DAC

Fideuram Asset Management (Ireland) operates as the Dublin-domiciled fund management arm of Intesa Sanpaolo Group, one of Europe's largest banking conglomerates with over EUR 1 trillion in assets under management. The firm specializes in providing sophisticated investment solutions to private banking clients and institutional investors across Italy, Ireland, and the UK, leveraging the broader group's extensive distribution network and client relationships built over decades of European banking leadership.

As part of the Intesa Sanpaolo ecosystem, FAMI benefits from significant competitive advantages including access to proprietary research, established client relationships, and substantial capital resources. The firm occupies a strong position in the European private wealth management sector, with particular strength in quantitative investment strategies and technology-focused equity portfolios that differentiate it from traditional European asset managers.
Dublin location provides strategic access to European institutional investor base while maintaining regulatory alignment with EU directives. The Irish domicile offers optimal fund structuring capabilities for cross-border distribution, positioning the role at the center of European asset management activity with significant influence over continental investment flows.
Italian banking heritage emphasizes relationship-building and long-term client partnerships, while Dublin operations foster international perspective and regulatory sophistication. The quantamental investment approach indicates analytically rigorous culture that values both academic excellence and practical market experience, creating environment where technical innovation is encouraged within established risk management frameworks.
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