Responsibilities:
- Develop the Global Fixed Income allocation strategy based on research provided by various banks.
- Develop the Fixed Income investment strategy.
- Propose investment ideas to the Chief Investment Officer/Investment Committee.
- Implement the investment strategy.
- Conduct regular meetings and discussions with Research Analysts from various Banks/Service providers.
- Guide and mentor in-house Research Analysts.
- Monitor and rebalance the portfolio regularly based on market conditions.
- Report portfolio performance monthly to Shareholders, accompanied by market commentary.
Requirements:
- Master’s degree in Finance/MBA.
- CFA designation is advantageous.
- 8-10 years of experience in Fixed Income markets.
- Minimum 2-3 years’ experience as a Research Analyst.
- Currently hold a position as a Fixed Income Portfolio Manager/Assistant Portfolio Manager, managing at least USD 100 million of Fixed Income investments across multiple regions.
- High level of analytical and research expertise.
Perks and Benefits:
- Competitive compensation package.
- Opportunities for professional development.
- Comprehensive benefits package.
- Dynamic and collaborative work environment.
How to Apply: If you meet the above requirements and are interested in this position, please submit your application along with your CV. We look forward to considering your application.