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Aviva Investors

Global asset management firm providing integrated investment solutions across diverse asset classes.

This global asset manager focuses on delivering tailored investment solutions by integrating expertise across various business sectors. The company prioritizes close client collaboration to understand specific goals and address concerns like market volatility and interest rate fluctuations. Drawing on extensive industry experience, the firm builds outcomes for both institutional investors and individuals saving for retirement. Teams bridge different asset classes to identify best ideas while maintaining disciplined risk management and rigorous oversight. The organization aims to simplify complex market challenges through a partnership-driven approach to investment management.

Posizioni aperte presso Aviva Investors

1 active listing

Analyst Sustainable Investments

Full time Mid-level
United Kingdom Jun 13, 2026

Domande frequenti su Aviva Investors

What are the main sustainability and ESG challenges for Aviva Investors?

Aviva Investors likely faces significant challenges in harmonizing ESG data across diverse global asset classes while navigating complex reporting regulations like SFDR and TCFD. Measuring the Scope 3 carbon footprint of its extensive investment portfolios might be a primary hurdle in its journey toward net-zero targets. Furthermore, the firm could find it difficult to balance the immediate financial returns demanded by some clients with the long-term stewardship requirements of sustainable investing. Engaging with high-carbon emitting companies in their portfolio to drive real-world transition, rather than simply divesting, likely represents a core strategic tension.

Why consider joining Aviva Investors's sustainability team?

Joining the sustainability team at Aviva Investors might offer the chance to influence capital allocation at a massive scale, directly impacting the global green transition. Candidates could find it rewarding to work in an environment that values deep integration, meaning sustainability experts would likely collaborate directly with fund managers rather than working in a silo. Because the firm emphasizes long-term outcomes for savers and retirees, an employee might feel that their work has a tangible social purpose. The opportunity to help shape the future of ethical investing within a major global institution could be a significant career motivator.

What could be interesting sustainability jobs at Aviva Investors?

Potential roles at Aviva Investors could follow a specialized path, such as an ESG Data Analyst focused on creating proprietary scoring models for asset valuation. Another interesting position might be an Active Stewardship Officer, whose primary role would be engaging with corporate boards to advocate for better climate disclosure and social governance. Other possibilities could include a Sustainable Investment Strategist who designs thematic funds or a Regulatory Compliance Specialist dedicated to ensuring that all client communications meet increasingly strict 'anti-greenwashing' standards across different jurisdictions.

How to stand out as a candidate for Aviva Investors's sustainability team?

To stand out at Aviva Investors, a candidate might demonstrate a strong ability to translate complex environmental or social metrics into the language of financial risk and opportunity. Showing a deep understanding of multi-asset integration could be more valuable than knowing one specific niche, as the firm prides itself on connecting dots across the business. Prospective employees who can showcase successful experience in stakeholder engagement or corporate diplomacy might have an edge. Highlighting a background in rigorous risk management or quantitative analysis could also signal that you align with the firm's disciplined and systematic approach to managing client assets.

What could you learn from a career in sustainability at Aviva Investors?

A career at Aviva Investors could provide unparalleled exposure to how ESG factors are practically implemented across equities, fixed income, and specialized assets. You might learn to navigate the intersection of global financial policy and climate science, gaining a sophisticated understanding of how macroeconomic shifts influence sustainable investment strategies. Professionals likely develop high-level skills in collaborative problem-solving and institutional relationship management given the firm's integrated approach. Additionally, the exposure to diverse market cycles and client types could build a robust foundation in risk-aware sustainable portfolio construction.

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