Senior Fixed Income Portfolio Manager
Role Overview
This is a multi-faceted senior role on the investment committee, sitting within the "macro analysis" pillar of our investment process and reporting to the CIO.
Key Objectives
- Helping in the generation of alpha through investment and trade ideas across our entire fund range
- Maximising the volatility adjusted returns through helping in the risk management across the entire fund range
- Establishing relationships with key investors, both existing and potential to help in growing the revenue of the business
Key Requirements
Essential
- 10+ years' buy-side experience at a Blue Chip firm, with capability to manage an active Fixed Income portfolio and a proven investment track record
- Strong expertise in corporate credit and FX (preferred), with the ability to contribute effectively within a collaborative investment culture
Key Responsibilities
Lead Manager for a fixed income portfolio fund
Broader risk management responsibilities for Multi Asset fund range include FX
The Formulation and formalisation of the investment team's views and understandings of the macroeconomic trends that are driving short and long term investment returns.
Helping in the application of the above into real world cross asset opportunities.
Contributing to the overall macroeconomic trade and investment generation process.
Leading client meetings, presentations and fund raising events, articulating the funds' performance and overall positioning and views.
Contributing thought pieces to the media through our PR firm and cantor publications