Role Summary
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 Responsibilites
- 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
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
Job Specification
Senior Fixed Income Portfolio Manager- Dublin
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