Senior Portfolio Manager, Macro Fixed income, Asset Management, London

Location
London, United Kingdom
Salary
£Excellent
Posted
15 Nov 2022
Closes
15 Dec 2022
Ref
17456381
Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
The role is all encompassing and you will be required to support the team's business development initiatives as well as complying to external regulations and the risk framework set out by the firm. The successful candidate will be an experienced discretionary portfolio manager with a proven track record of active management. The strategies are globally diversified, multi-currency across both corporate and Sovereign debt.

Responsibilities
  • Manage assigned funds 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 (7 - 10 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 client-facing skills
  • Strong communication skills, we are looking for someone who is comfortable working in team environments