Job description
Experienced Fixed Income Portfolio Manager. Entrepreneurial team
player to be a team member of the fixed income segment of the asset
management team.
Portfolio Management:
- responsibilities will include conducting in-depth research and valuations of companies – listed and unlisted
- maintaining industry/sector information, analysis and data
- Fixed Income Portfolio Management, Fixed Income asset allocation, Investment Committee Meetings and presentations
- Performance measurement and Risk Management
- Client engagement - Preparing and making client and other presentations
- Preparation of Newsletters and factsheets– Monthly/Quarterly
- Conducting macro and micro, business and financial statement analysis and develop strategic and tactical views on the markets
- Preparing feasibility/investment reports (including highlighting key transaction risks) from both a debt and equity funding perspective and making recommendations
- Cash flow modelling, portfolio construction and analysis
- HND/BSc
- Strong Academics
- O’ Levels (including English & Mathematics)
- Professional numerate qualification + postgraduate degree
- CFA Charterholder or in final stages of the CFA exams
Portfolio Management:
- Portfolio modelling and construction
- Duration Management
- Monitor and track coupons, inflows and outflows
- Hedging and hedging strategies
- Creating and structuring fixed income funds, portfolios and other products
- Daily fixed income market commentary and updates
- Valuation of Bonds, Treasury Bills and other fixed income instruments
- Execute Fixed Income transactions
- Credit modelling & monitoring
- Initiate, monitor, & successfully execute primary trades, liaising with investment operations