Senior Portfolio Manager, Macro Fixed Income, Asset - London, United Kingdom - eFinancialCareers

Tom O´Connor

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Tom O´Connor

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Description

Responsibilities

  • Manage assignedfunds to outperform benchmark
  • Collaborate across teams to develop new investment strategies and provide recommendations in line with the firm's investment process
  • Generate strong ideas in line with our top down active investment process,
  • Make tactical investment decisions utilising Rates, FX and credit strategies, both Developed and Emerging Markets
  • Be an active participant in regular investment committees and reviews
  • Assessing investment opportunities with ESG integration at the forefront of portfolio decision making
  • Help grow the firm's flagship fund through client pitches
  • Participate in external meetings, engaging with clients and delivering the firm's view
  • Assist with the production of new marketing materials, providing more technical support to adjacent teams where necessary
  • Remain compliant with the firm's risk framework and adhere to wider regulatory requirements
  • Report on the performance of investments to the risk management team
  • Help develop new funds and strategies

Requirements

  • Track record of active management minimum year track record)
  • Excellent understanding of Rates and FX,Developed and Emerging Market debt
  • Outstanding academic performance, with a master's degree in Economics/Finance or any related discipline
  • Strong understanding of micro and macroeconomic concepts
  • Demonstrable knowledge of ESG integration into investment process
  • Excellent English language skills
  • Quantitative /modelling experience beneficial
  • Must be comfortable with pitching ideas to prospective investors, and have strong clientfacing skills
  • Strong communication skills, we are looking for someone who is comfortable working in team environments

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