Vice President - Evergreen Analytics Lead

London, Greater London, England, United Kingdom March 25, 2026

Pantheon has been at the forefront of private markets investing for more than 40 years, earning a reputation for an innovative approach to investing in secondaries, co-investments, and primary fund investments, as well as capital formation across commingled funds, evergreen vehicles and customized solutions. Our specialist investment capabilities span multiple strategies across private equity, infrastructure and real assets, and private credit. Through our collaborative and committed culture, we find new ways to solve complex problems together and deliver innovative investment opportunities across private markets. Pantheon currently manages approximately $82.3 billion in AUM across all its strategies, serving more than 750 institutional and 638 private wealth clients worldwide

For further details please visit www.pantheon.com

Purpose of the Position 

We are seeking a Vice President to lead the Portfolio Analytics function supporting our firm-wide analytics capability for evergreen / semi-liquid vehicles as well as single asset GP-led secondaries and co-investments.  The role requires knowledge of private markets coupled with semi-liquid fund (40 Act, SICAV) expertise who specialize in using data to develop strategic analytics to inform portfolio decision making, investment decisions, risk analysis, investor insights. This individual will oversee a team responsible for delivering fund- and asset-level analytics and will serve as a senior analytical partner to Portfolio Management, Investments and Risk. The role sits at the intersection of Portfolio Management, Data Engineering and Investment Ops requires strong private markets experience, leadership maturity and the ability to operate in a fast-evolving business.

This is a leadership role that will shape how portfolio insight informs decision-making across the platform.

Key Responsibilities 

  • Lead and develop a high-performing portfolio analytics team, establishing clear standards for rigor, responsiveness and accountability and ensuring the function is viewed as disciplined, collaborative and intellectually strong
  • Own the delivery of evergreen portfolio analytics across performance drivers, attribution, composition, concentration, risk exposures and liquidity positioning at both fund and underlying asset levels, ensuring portfolio discussions are grounded in clear, defensible insight
  • Partner directly with Portfolio Management & Investment Risk on capital deployment, pacing models, subscription and redemption flow analysis, and liquidity forecasting within semi-liquid structures, ensuring capital allocation decisions are supported by structured, forward-looking analysis
  • Provide scenario analysis and stress testing to evaluate portfolio resilience under varying deployment speeds, distribution timing and macro conditions, identifying emerging risks and portfolio imbalances early
  • Support senior leadership discussions with concise, decision-oriented materials that clearly frame trade-offs, return drivers and risk exposures, strengthening the quality of debate and decision-making
  • Ensure investor facing analytics supporting retail and wealth distribution channels are robust, consistent and aligned with internal portfolio views, reinforcing credibility in external communications
  • Establish quality control standards for analytical outputs to ensure consistency, transparency and auditability appropriate for regulated semi-liquid vehicles
  • Prioritize and allocate team resources effectively across recurring portfolio monitoring and high-impact ad hoc analyses, maintaining quality and responsiveness as the platform scales
  • Continuously elevate the sophistication of analytics, moving beyond descriptive reporting toward comparative and forward-looking insight that materially informs portfolio construction

Knowledge & Experience Required

  • The successful candidate will have 10+ years of experience within private markets, ideally at a leading alternative asset manager, secondaries platform or institutional investor, with deep exposure to portfolio analytics, portfolio management or investment risk
  • The candidate will demonstrate strong familiarity with evergreen or semi-liquid structures, including liquidity mechanics, capital pacing, subscription and redemption flows, and NAV-based portfolio management
  • The candidate will have demonstrated the ability to operate credibly alongside senior Portfolio Managers and contribute meaningfully to portfolio and client reviews
  • The candidate will have proven experience leading and developing analytics professionals in demanding, performance-driven investment environments
  • The candidate will demonstrate experience using Python, Power BI SQL or similar tools to analyze large, structured datasets beyond spreadsheet-based workflows
  • Demonstrated ability to evaluate private markets’ data quality, trace inputs to source and ensure valuation, cash flow and performance data are accurate, complete and decision-ready
  • The candidate will exhibit strong executive presence and communication skills, with the ability to translate complex analytics into concise, commercially relevant insights

This job description is not to be construed as an exhaustive statement of duties, responsibilities, or requirements. You may be required to perform other job-related duties as reasonably requested by your manager.

Pantheon is an Equal Opportunities employer, we are committed to building a diverse and inclusive workforce so if you're excited about this role but your past experience doesn't perfectly align we'd still encourage you to apply.

 

 

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