Asset Management, Systematic Fixed Income Portfolio Manager, Executive Director
On-site · London, England, United Kingdom
Job Summary
Systematic Fixed Income Portfolio Manager role focused on managing passive and active strategies, developing new systematic strategies, and supporting the rollout of an active ETF platform. Responsibilities include integrating portfolio optimization tools into the investment process, collaborating with Quantitative Research to refine construction techniques, monitoring client portfolios, coordinating with sector specialists, conducting bespoke research for clients, and partnering with asset management teams to articulate capabilities and tailor solutions.
Required Qualifications
- Extensive experience in Fixed Income portfolio management
- Bachelor's degree in Statistics, Economics, Finance, or a related scientific discipline
- Strong knowledge of public fixed income markets, including credit, interest rates, or structured finance
- Proven ability to work effectively in a team-oriented setting and manage multiple tasks simultaneously
- Strong technical, analytical, and complex problem-solving skills, with attention to detail in a fast-paced environment
- Demonstrates drive, determination, and a results-oriented work ethic, thriving in a team-based, collaborative environment with excellent communication and relationship skills
- Strong data and analytical skills, with proficiency in Excel and Python
Desired Qualifications
- CFA designation is a plus.
- Experience executing portfolio trades and derivatives expertise.
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