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M&GPosted 3 weeks ago
EXPIRED

Junior Portfolio Manager – Fixed Income

On-siteLondon, England, United Kingdom

Full TimeEntry LevelLarge

Job Summary

Support the management of Fixed Income portfolios with a focus on European stock selection by conducting in-depth credit analysis, including financial modelling, issuer fundamentals, and relative value assessments. Monitor portfolio positions, performance, and risk exposures in line with team frameworks while contributing to investment idea generation, trade recommendations, and portfolio allocation decisions. Assist in evaluating primary and secondary market opportunities and collaborate with credit analysts, traders, and risk teams to support execution and portfolio optimisation. Prepare investment materials and portfolio updates for internal stakeholders and support distribution in client-facing meetings. This role is based in London and requires strong analytical skills, proficiency in financial modelling, and a degree in Finance or a related discipline.

Required Qualifications

  • Several years' experience in an investment-related role (e.g. credit analysis, trading, or portfolio support)
  • Degree in Finance, Economics, Mathematics, or a related discipline
  • Strong analytical and quantitative skillset, with the ability to interpret complex financial data
  • Demonstrated interest and experience in credit markets
  • Proficient in financial modelling, credit analysis, and valuation techniques
  • Strong IT and data skills
  • Attention to detail with the ability to work in a fast-paced investment environment
  • Effective communication and teamwork skills

Desired Qualifications

  • CFA Level I; progress towards full CFA designation preferred

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