This role involves developing and executing fixed income strategies, managing institutional portfolios, and overseeing a team of investment professionals. The ideal candidate will bring deep market expertise, strong leadership skills, and a proven track record in generating risk-adjusted returns.
Key Responsibilities:Lead fixed income strategy development and execution in line with the firm's investment objectives.Manage fixed income portfolios with focus on interest rate risk, credit analysis, and asset allocation.Oversee fund performance, regulatory compliance, and reporting standards.Provide leadership to portfolio and fund management teams; mentor and develop investment talent.Conduct market research and macroeconomic analysis to support investment decisions.Represent the firm in client meetings, investor forums, and industry events.Ensure alignment with internal policies, risk parameters, and regulatory guidelines.
Requirements:10+ years of experience in fixed income portfolio and fund management.Proven performance managing institutional fixed income portfolios.Strong knowledge of global fixed income markets and investment strategies.International investment experience.Exceptional analytical, leadership, and communication skills.