- Formulating and executing the fixed-income strategy of the company
- Managing a wide variety of fixed-income portfolios (mutual funds, pension funds, life-insurance)
- Participating in asset allocation decisions
- Reporting to clients
- Preparing asset-liability committee materials and participating in ALCO's decision making
- Supporting the company's marketing efforts
- Contributing toward new product development
Requirements
- University degree
- Relevant fixed-income portfolio management experience is an advantage
- Good analytical and quantitative skills
- Developed communication and presentation skills
- Good command of English
- CFA or other investment-related degree is an advantage
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