In this role your primary responsibilities will include working with the existing portfolio management team in the following:
Actively managing European and Global investment strategies:
Manage portfolios in line with the process-driven approach of the firm
Delivering best risk adjusted returns within client constraints
Actively managing issuer and sector risk, credit beta and duration within constraints
Cash flow management
Managing client requirements as required
Contribution to market views:
Market direction
Relative value and asset allocation
Analyst debate and challenge
Portfolio construction
You will also be involved in project work focused on improving/enhancing the investment process along with marketing and growth opportunity efforts.
You will be embedded in the team and independently managing portfolios and will be expected to develop your skillset over time, through gaining greater understanding of the Fixed Income team’s strategies, process and portfolio decisions.
Required Knowledge, Skills, and Abilities
Experience with the Aladdin platform Experience with a variety of products and instruments Experience in coding and data treatment. Demonstrable experience as a Fixed Income Credit Portfolio Manager, ideally working within the High Yield asset class or across various credit class segments (multi-credit strategies). You must be highly analytical with excellent communication skills (both oral and written) and display strong attention to detail skills. You should be experienced in working as part of a team, with a passion for investing with first class Client relationship management skills.