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Alternative Investment Manager Selection Jobs (NOW HIRING)

Conduct investment research and analysis across traditional and alternative investment * Support asset allocation, manager selection, portfolio construction, and ongoing investment monitoring

LGT CP's Liquid Markets unit is managing portfolio solutions with a strong focus on alternative investments. LGT CP is expanding their global manager selection team with an additional Associate ...

Founded in 1998, the firm has grown to manage over $100 billion and is a leader in alternative investing. LGT provides investment solutions that leverage their expertise in private markets ...

Portfolio Management; Finance; Investment Management Pay Transparency Salary Range: Not Available ... SMA's, alternative investments, etc.). May have limited interaction with tax attorney's and/or ...

Portfolio Management; Finance; Investment Management Pay Transparency Salary Range: Not Available ... SMA's, alternative investments, etc.). May have limited interaction with tax attorney's and/or ...

Portfolio Management; Finance; Investment Management Pay Transparency Salary Range: Not Available ... SMA's, alternative investments, etc.). May have limited interaction with tax attorney's and/or ...

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Alternative Investment Manager Selection information

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$33.5K

$106.6K

$181K

How much do alternative investment manager selection jobs pay per year?

As of Jun 16, 2026, the average yearly pay for alternative investment manager selection in the United States is $106,639.00, according to ZipRecruiter salary data. Most workers in this role earn between $75,000.00 and $132,500.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as an Alternative Investment Manager Selection specialist, and why are they important?

To excel in Alternative Investment Manager Selection, you need strong analytical skills, investment acumen, and a background in finance or economics, often supported by a CFA or CAIA designation. Familiarity with portfolio management software, risk analysis tools, and due diligence systems is typically required. Outstanding communication, critical thinking, and relationship-building abilities help professionals effectively assess managers and present findings to stakeholders. These skills are crucial for identifying top-performing managers, managing risks, and achieving optimal investment outcomes for clients or institutions.

What does an Alternative Investment Manager Selection professional do?

An Alternative Investment Manager Selection professional is responsible for identifying, evaluating, and selecting third-party managers or funds that specialize in alternative investments such as hedge funds, private equity, real estate, or commodities. They conduct due diligence on potential fund managers, assess their performance track records, investment strategies, and risk management processes. Their goal is to build a diversified portfolio of alternative investments that aligns with the organization's investment objectives and risk tolerance, while continuously monitoring selected managers for ongoing suitability.

What are some typical challenges faced when conducting due diligence on alternative investment managers?

One common challenge is accessing comprehensive and transparent information from alternative investment managers, as these firms may have less regulatory oversight compared to traditional asset managers. Evaluating a manager’s track record, investment process, and risk management practices often requires extensive qualitative and quantitative analysis. Additionally, understanding the alignment of interests through fee structures and co-investment terms can be complex. Navigating these challenges requires strong analytical skills, industry knowledge, and effective communication with both internal teams and external managers.

What is the difference between Alternative Investment Manager Selection vs Hedge Fund Analyst?

AspectAlternative Investment Manager SelectionHedge Fund Analyst
CredentialsTypically requires finance, investment, or related certifications; CFA often preferredSimilar credentials; CFA, Series 7/63 may be required
Work EnvironmentFocuses on evaluating and selecting managers across alternative assets in institutional settingsAnalyzes hedge fund strategies, performance, and risk in investment firms or hedge funds
Employer & IndustryAsset management firms, pension funds, endowmentsHedge funds, investment firms, asset management companies
Search & Comparison IntentUnderstanding roles in manager selection processAnalyzing hedge fund performance and strategies

While both roles involve investment analysis, Alternative Investment Manager Selection focuses on evaluating and choosing external managers for alternative assets, whereas Hedge Fund Analysts analyze hedge fund strategies and performance to inform investment decisions within hedge funds or asset managers.

More about Alternative Investment Manager Selection jobs
What states have the most Alternative Investment Manager Selection jobs? States with the most job openings for Alternative Investment Manager Selection jobs include:
What job categories do people searching Alternative Investment Manager Selection jobs look for? The top searched job categories for Alternative Investment Manager Selection jobs are:
Infographic showing various Alternative Investment Manager Selection job openings in the United States as of June 2026, with employment types broken down into 98% Full Time, 1% Part Time, and 1% Contract. Highlights an 92% Physical, 2% Hybrid, and 6% Remote job distribution, with an average salary of $106,639 per year, or $51.3 per hour.

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Posted 7 days ago


Job description

&Partners is seeking an Investment Analyst to join our growing investment team in St. Louis. This role offers broad exposure to investment research, portfolio construction, manager due diligence, and alternative investments within a collaborative and fast-paced environment.



Responsibilities

  • Conduct investment research and analysis across traditional and alternative investment
  • Support asset allocation, manager selection, portfolio construction, and ongoing investment monitoring
  • Evaluate private investment opportunities through primary and secondary research
  • Develop quantitative tools, automate reporting, and improve investment analytic
  • Collaborate with advisors, investment team members, external managers.
  • Contribute to investment commentary, presentations, and client-facing materials


Qualifications & Experience

  • Strong understanding of investment theory and its practical application for individual investors
  • Excellent quantitative, analytical, and problem-solving skills
  • Passion for financial markets and a demonstrated commitment to continuous learning
  • Self-starter with the ability to work both independently and collaboratively in a fast-paced environment
  • High level of integrity, professionalism, and client-first mindset
  • Strong communication and writing skills
  • Bachelor’s degree required; advanced education, relevant industry experience, and/or CFA designation preferred


Why Join &Partners

At &Partners, we are building a modern wealth management firm centered on innovation, collaboration, and exceptional client outcomes. This is an opportunity to work alongside an experienced investment team while contributing meaningfully to the continued growth and evolution of the firm.


This position is based in St. Louis, Missouri.