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Global Portfolio Management Jobs (NOW HIRING)

$110 - $130/hr

Senior Analyst, Portfolio Management and Strategy Department: Portfolio Management Reports to ... S. and global teams to monitor portfolio performance, improve forecasting and reporting, and help ...

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Global Portfolio Management information

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$100.5K

$187.5K

How much do global portfolio management jobs pay per year?

As of Sep 6, 2026, the average yearly pay for global portfolio management in the United States is $100,458.00, according to ZipRecruiter salary data. Most workers in this role earn between $65,500.00 and $130,000.00 per year, depending on experience, location, and employer.

What is global portfolio management?

Global Portfolio Management refers to the process of managing a collection of investments across multiple countries and regions. Professionals in this field analyze international markets, diversify assets geographically, and make strategic decisions to balance risk and return on a global scale. The goal is to optimize the overall performance of the portfolio by considering factors such as currency fluctuations, differing economic conditions, and geopolitical risks. This role requires a deep understanding of global financial markets and the ability to adapt to rapidly changing environments.

What are the key skills and qualifications needed to thrive as a global portfolio manager?

To thrive as a Global Portfolio Manager, you need analytical expertise, financial acumen, and a background in finance, economics, or business, often supported by a CFA or MBA. Proficiency with portfolio management systems, risk analysis tools, and financial modeling software is typically required. Strong communication, cross-cultural awareness, and strategic decision-making distinguish top performers in this role. These skills are vital to managing diverse investments, mitigating risks across global markets, and achieving optimal portfolio performance.

What are some common challenges faced by professionals in global portfolio management, and how are they typically addressed?

Professionals in Global Portfolio Management often encounter challenges such as navigating complex regulatory environments across different countries, managing currency and geopolitical risks, and coordinating with diverse teams across time zones. These issues are typically addressed by staying updated on international regulations, employing risk mitigation strategies like currency hedging, and fostering strong communication channels within the global team. Regular collaboration with legal, compliance, and regional investment teams is also essential to ensure aligned decision-making and effective portfolio performance.

What is the difference between Global Portfolio Management vs Investment Analyst?

AspectGlobal Portfolio ManagementInvestment Analyst
CredentialsAdvanced degrees (MBA, CFA), extensive experienceBachelor's or Master's, CFA or similar certifications beneficial
Work EnvironmentStrategic, high-level decision-making, often in offices or remoteResearch-focused, data analysis, report writing
Employer & Industry UsageAsset management firms, banks, institutional investorsInvestment firms, banks, asset management companies

Global Portfolio Management involves overseeing large, diversified investment portfolios, making strategic decisions, and managing risk at a high level. Investment Analysts focus on researching securities, analyzing data, and supporting portfolio managers with detailed insights. While both roles require financial expertise and certifications like CFA, Global Portfolio Managers operate at a broader, strategic level compared to the more research-oriented Investment Analysts.

Are global portfolio managers paid well?

Global portfolio managers typically earn high salaries due to the seniority and expertise required for managing large, diverse investment portfolios. Compensation often includes base salary, bonuses, and performance incentives, reflecting the importance of analytical skills, market knowledge, and risk management in the role.

How much do global portfolio managers get paid?

Global portfolio managers typically earn a base salary ranging from $100,000 to $250,000 annually, with total compensation often including bonuses and performance incentives that can significantly increase earnings. Experienced managers with strong track records and advanced certifications like the CFA may earn higher compensation, especially in large financial firms or hedge funds.

What does a global portfolio management do?

A global portfolio management professional oversees investment portfolios across multiple regions and asset classes to optimize returns and manage risk. They analyze market trends, allocate assets, and use financial tools and data analysis to make strategic investment decisions in a complex, international environment.
More about Global Portfolio Management jobs
Infographic showing various Global Portfolio Management job openings in the United States as of August 2026, with employment types broken down into 1% As Needed, 83% Full Time, 14% Part Time, and 2% Contract. Highlights an 89% Physical, 2% Hybrid, and 9% Remote job distribution, with an average salary of $100,458 per year, or $48.3 per hour.

Manager, Portfolio Management

Brookfield Renewable

Manhattan, NY • On-site

$150K - $185K/yr

Full-time

Medical, Retirement

Re-posted 3 days ago


Job description

About Us
Brookfield Renewable, as one of the core businesses under Brookfield Corporation, is one of the world's largest owners, operators, and developers of renewable power, with $125 billion of power assets under management. Our diverse portfolio of hydro, wind, solar, distributed energy, storage, and sustainable solutions extends across five continents, totaling over 46,000 megawatts of generating capacity. We use our operating capabilities, scale and global reach to develop and operate a high-quality clean energy portfolio in a responsible manner, helping accelerate the global transition to net zero.
Organization Overview:
Modal Power is a Solar IPP which owns a ~2.3GW portfolio of fifteen operating projects, four under-construction projects, and three pre-NTP assets.
Modal Power is managed by Brookfield Renewable. Brookfield Renewable, as one of the core businesses under the Brookfield Corporation, is one of the world's largest owners, operators, and developers of renewable power, with $125 billion power assets under management. Brookfield's diverse portfolio of hydro, wind, solar, distributed energy, storage, and sustainable solutions extends across five continents, totaling over 46,000 megawatts of generating capacity. We use our operating capabilities, scale and global reach to develop and operate a high-quality clean energy portfolio in a responsible manner, helping accelerate the global transition to net zero.
We attract high-performing individuals who are driven to make an impact in a fast-paced and collaborative environment. We offer unparalleled opportunities to lead and manage one of the largest renewable energy businesses with decades of history, while contributing to the global need for sustainable energy.
About the Role
Modal Power is looking for a Renewable Energy Portfolio Manager who thrives in a fast-paced and performance-driven environment in a role that provides exposure to different facets of the business. Reporting to the SVP of Capital Markets, the Portfolio Manager is responsible for overseeing the financial, commercial, and financing obligations of the company's operating renewable energy portfolio. This role serves as the primary relationship manager for tax equity investors, senior lenders, and other capital providers while ensuring compliance with financing agreements and optimizing portfolio financial performance. The Portfolio Manager will also work with the operating businesses to assess, understand, and mitigate key business risks, and to ensure newly acquired assets are integrated in line with Modal Power's standards. Working closely with Asset Management, Accounting, Treasury, Legal, and Operations teams, the Portfolio Manager will coordinate investor reporting, financial forecasting, covenant compliance, distributions, reserve management, and strategic portfolio initiatives.
Key Responsibilities
  • Serve as the primary relationship manager for tax equity investors, senior lenders and financing parties across the operating portfolio
  • Coordinate quarterly and annual investor reporting packages
  • Manage tax equity compliance requirements and reporting obligations
  • Support investor inquiries; coordinate with internal and external tax advisors on tax and partnership matters
  • Monitor tax equity yield projections and identify risks or opportunities affecting investor returns
  • Facilitate investor approvals, consents, and governance requirements
  • Manage compliance with debt agreements, reserve requirements, and financing covenants, and coordinate lender reporting and information requests
  • Monitor debt service coverage ratios, cash sweeps, reserve accounts, and distribution tests
  • Maintain financial models and long-term forecasts in collaboration with Asset Management and Accounting teams
  • Analyze portfolio cash flows, distributions, and financial performance against business plans, and support portfolio performance reporting
  • Evaluate opportunities to enhance portfolio value through refinancing or restructuring
  • Support divestiture activities, including financial due diligence and transaction execution, and assess the financial impacts of operational and commercial decisions across the portfolio
  • Work with the operating businesses to assess, understand, and mitigate key business risks across the portfolio
  • Partner with Asset Management, Accounting, Treasury, and Legal on operational, reporting, liquidity, and financing matters
  • Support executive management reporting and board presentations

Knowledge and Experience Required
  • An undergraduate degree in Finance, Accounting, Economics, Business, Engineering, or related field
  • 5+ years of relevant experience in renewable energy finance, project finance, portfolio management, asset management, infrastructure investing, business advisory, audit, or consulting roles
  • Experience working with tax equity structures and project finance debt facilities, and a strong understanding of renewable energy financing structures and partnership arrangements
  • Experience with solar and energy storage portfolios, and familiarity with partnership flip structures and renewable energy tax credits, considered an asset
  • Knowledge of project finance documentation and covenant compliance, and experience supporting M&A, refinancing, or capital markets transactions, considered an asset
  • A professional designation (CPA/CA, CFA, MBA, or equivalent) a plus
  • Strong working knowledge of a variety of computer applications including word processing, spreadsheets, and presentation software (MS Word, Excel, PowerPoint)
  • Strong written and verbal communication skills, with the ability to engage effectively with senior executives, capital partners, and external advisors
  • Self-motivated, proactive, and able to work effectively in a fast-paced, dynamic environment with limited structure and multiple competing priorities
  • Strong interpersonal skills and the ability to handle confidential and non-routine information with discretion
  • Advanced quantitative, analytical, and financial modeling abilities
  • Strong organizational skills and attention to detail
  • Experience managing multiple projects and competing requirements
  • Experience managing external investor and lender relationships

Salary: $150,000.00 -$185,000.00, bonus eligible.
Working here, you will enjoy:
At Brookfield, your goals are a priority. We start with your strengths and ambitions as an employee and strive to create opportunities to tap into your potential.
  • We work to recognize you in meaningful, personalized ways including a competitive salary, bonus structure, a health benefits program, and 401(k) plan.
  • Our spaces are open, dynamic, and collaborative, giving you access to different businesses and teams.
  • We cultivate a culture where we invest in your growth and development.

Diversity & Inclusion
Brookfield Renewable embraces and promotes the principles of diversity, equity, and inclusion. We welcome and encourage applications from all qualified candidates, including women, Indigenous peoples and other persons of all races, ethnic origins, religions, abilities, sexual orientations, and gender identities and expressions. We also provide accommodation during all parts of the hiring process, upon request. If contacted to proceed to the recruitment process, please advise us if you require any accommodation.
Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.