A highly regarded boutique asset manager based in London is looking to hire a Portfolio Manager to join the fixed income investment team. This role will focus on managing corporate bond portfolios in a manner consistent with client objectives to achieve out-performance over a 1, 3 and 5 year period.
Key Responsibilities:
* Manage corporate bond portfolios
* Investment idea generation in fixed income markets that deliver positive returns
* Lead on firm wide fixed income strategy and contribute to bond, credit and currency outlook
* Analyse fundamental (macro and credit drivers), valuation and timing factors
* Assess new fixed income investments and opportunities
* Analyse currency anomalies in fixed income
* Conduct the bond selection process, generating new ideas that are consistent with the credit process
* Create and implement trades and liaise with Traders to ensure timely execution
* Support product development and marketing needs
Ideal Profile:
* Minimum 5 years’ relevant portfolio management experience on the buy-side
* Extensive knowledge of fixed income markets
* Excellent analytical skills
* Passion for investing and financial markets
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