2026 ARS Portfolio Management Summer Intern

Sorry, this job was removed at 06:07 p.m. (CST) on Wednesday, Aug 13, 2025
Chicago, IL, USA
In-Office
68K-70K Annually
Financial Services
The Role

Absolute Return/Hedge Fund Strategies (“ARS”) Investments Intern (Portfolio Management)


SUMMARY

The 10 week Summer Internship Program is designed to provide an introduction to the alternative investment industry. Interns receive real-world experience that will foster professional development while complementing their studies. Internships in the Investments department are geared towards rising seniors pursuing a career in the investment management industry.


ARS PORTFOLIO MANAGEMENT INTERN

The Portfolio Management department’s primary focus is to construct and monitor the customized and commingled portfolios the firm manages in our ARS group.  The department constructs forward-looking allocation plans that align with GCM Grosvenor’s current investment views while ensuring compliance with each portfolio’s stated objectives and constraints. The Portfolio Management team works closely with other departments including our Research, Risk Management, and Operations teams on investments-related work.  In addition, Portfolio Management works closely with our Business Development, Marketing and Legal groups to create portfolio proposals in pursuit of new business, and further develop existing business relationships.  The role of a Portfolio Management Intern focuses in the areas of investments, client servicing and operations.


RESPONSIBILITIES      

The individual will be involved in the following critical activities:

  • Construct forward-looking portfolio plans that allocate client capital to various hedge funds.
  • Use the Firm’s internal risk analytics to analyze portfolios of hedge funds and inform allocation decision making.
  • Draft portfolio-related correspondence to clients and create customized solutions for client requests as they arise.
  • Maintain knowledge base of underlying hedge funds and current investment themes.
  • Work closely with Business Development, Marketing and Legal to create proposed portfolio presentations for potential new business.
  • Test portfolio allocation plans to their respective objectives and constraints for compliance.
  • Participate in weekly department meetings.
  • Complete a case study project related to the industry to present to the Portfolio Management and Risk Management teams.

 

EDUCATION, SKILLS AND EXPERIENCE REQUIREMENTS

The ideal experience and critical competencies for the role include the following:              

  • Qualified candidates will be pursuing BA/BS with a concentration in Finance, Economics, Accounting or related field, set to graduate in Winter 2026 or Spring 2027, with superior academic performance.
  • Strong interest in and knowledge of the investment industry, particularly the alternative investment industry. Applicable coursework or previous internship in the field of investments or financial markets beneficial but not required.
  • Superior written and verbal communication skills. The ability to articulate thoughts in a clear and concise manner to both clients and staff through written correspondence, presentations and in meetings
  • Must be flexible and adaptable with the ability to work in a fast paced, changing environment with shifts in work flow priorities under tight time constraints.
  • Excellent work ethic, high degree of professionalism and integrity, and commitment to team in a goal-oriented environment.
  • Superior organization, critical decision making and problem solving skills with the demonstrated initiative and ability to manage tasks and projects independently from start to finish in a cross functional team environment.
  • Strong attention to detail and concern for quality and accuracy of final product, and ability to balance that concern with deadlines.
  • Team player, self-starter, independent and critical thinker.
  • Flexible schedule which allows for certain late nights and weekends depending upon the work load.
  • The ability to recognize the requirements of confidentiality.
  • Highly proficient with Excel, Word, and Outlook.

Interns are not eligible for employee benefits like health insurance, paid time off, or 401(k) plans.

Actual base salary may vary based on factors such as individual's experience, skills, and qualifications for the role.  Employees may be eligible for a discretionary bonus based on factors such as individual, team, and company performance as well as a comprehensive benefits package.

CHICAGO ANNUAL PAY RANGE
$68,000$70,000 USD

ABOUT THE FIRM

GCM Grosvenor (Nasdaq: GCMG) is a global alternative asset management solutions provider with approximately $86 billion in assets under management across private equity, infrastructure, real estate, credit, and absolute return investment strategies.

The firm has specialized in alternatives for more than 54 years and has a diverse, engaged team of approximately 560 professionals serving a global client base. Eligible employees can elect to participate in comprehensive healthcare coverage (including medical, dental, vision and life insurance), flexible spending accounts, and the employer sponsored retirement plan.  Additionally, employees are eligible for paid time off, parental leave, short-term and long-term disability, as well as other care/wellness programs.


The firm is headquartered in Chicago, with offices in New York, Toronto, London, Frankfurt, Tokyo, Hong Kong, Seoul, and Sydney. For more information, visit: gcmgrosvenor.com.

EQUAL OPPORTUNITY EMPLOYER M/F/D/V

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The Company
HQ: Chicago, IL
545 Employees
Year Founded: 1971

What We Do

GCM Grosvenor (NASDAQ: GCMG) is a global alternatives investment firm with approximately $71 billion in assets under management in private equity, infrastructure, real estate, credit, absolute return strategies, and multi-asset class opportunistic investments. The firm has specialized in alternatives since 1971, and is dedicated to unlocking value for clients by leveraging its cross-asset class and flexible investment platform. GCM Grosvenor’s experienced team of approximately 500 professionals from diverse backgrounds serves a global client base of institutional and high net worth investors. The firm is headquartered in Chicago, with offices in New York, Los Angeles, London, Frankfurt, Tokyo, Toronto, Hong Kong, and Seoul. In 2020, GCM Grosvenor was named among the Best Places to Work in Money Management by Pensions & Investments.

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