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Reporting To: Head of Active Global Fixed Income, London Department: Fixed Income Portfolio Management Location: London Purpose of Role: Take pro-active role in global interest rate strategy (country/strategy coverage) in conjunction with global team. Take responsibility for GFI portfolios including long-only, leveraged long/short, single and multi-currency portfolios. Major Responsibilities: evaluation and implementation of investment strategy across diverse range of alpha sources within predefined risk limits Manage portfolios: active trade implementation and passive rebalancing trades (including currency hedging) Contribute to annual, monthly and weekly strategy calls REQUIREMENTS Education & Experience: A graduate, preferably in a mathematical, computing or economics discipline . In-depth interest rates experience in portfolio management /construction and implementation Good analytical and spreadsheet skills Specific Technical Knowledge/ Qualifications: IMC CFA/MBA preferred Personal Profile: Ability to work under pressure Attention to detail and accuracy
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