Assistant Portfolio Manager
$110,000–$175,000 year
On-site · New York City, New York, United States
Job Summary
Assist a New York-based Portfolio Manager in the day-to-day management and oversight of a global EM credit portfolio across sovereign and corporate issuers, including both long and short positions. Responsibilities include monitoring investment and trade analysis, research, sell-side interaction, tracking relevant news flow and events, assisting with implementation, monitoring, and attribution analysis of active strategies, contributing to investment-process improvements (including automation and model-based approaches), and building relationships with execution traders, other portfolio managers, and sell-side counterparts. Requirements include 4-7 years of fixed income trading or front office investment experience (rates or credit), preferably Spanish fluency, strong quantitative/analytical skills with some Python knowledge, exposure to LatAm and/or CEEMEA bond markets, and a collaborative, proactive work style. Work status and location: Full time in New York.
Required Qualifications
- 4-7 years of fixed income trading or front office investment experience, with a focus on rates or credit
- Fluency in Spanish is preferred
- Exceptional academic record, with excellent quantitative and analytical skills; some knowledge of Python preferred
- Experience or exposure to LatAm and/or CEEMEA bond markets
- Self-motivated, highly organised, and proactive in problem-solving
- Strong communication skills
- Demonstrated strong work ethic and collaborative team approach
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