Function / Position objectives
The Portfolio Manager will be part of the Fixed Income Asset Management Team. He / she will be responsible for supporting the management of the Total Return portfolios.
This will include research, developing investment ideas and recommendations, integration of ESG, and the whole range of portfolio management activities (portfolio construction, trade execution, position monitoring, risk management).
It will also include client facing sales activities.Responsibilities
Supporting daily operations, investment decisions, portfolio construction and risk management of the JSS Sustainable Bond -Total Return Global portfolio.
Developing and monitoring investment ideas and opportunities across global macro, investment grade and high yield credit.
Contributing to fundamental macro, credit research and ESG integration.
Contributing to investment reporting and marketing documents. Including development / maintenance of supporting IT tools (Factset, Bloomberg etc.)
Communicating portfolio performance, positioning and strategy internally and externally (incl. client facing meeting).
Profiles
At least a university degree in a relevant field and / or education in business or finance. Higher financial education (CFA / AZEK) would be advantageous.
At least 10 years of work experience as a fixed income Portfolio Manager.
Good understanding of ESG integration and strong interest in developing sustainable investment strategies.
Creativity, entrepreneurship, 'hands-on' mentality and a passion for financial markets
Proficient user of common office IT solutions as well as the Bloomberg financial application
Activity rate100%