Portfolio Manager Fixed Income

Portfolio Manager Fixed Income

Hamburg Vollzeit 72000 - 100000 € / Jahr (geschätzt)
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Auf einen Blick

  • Aufgaben: Lead fixed income investments and develop actionable investment strategies.
  • Arbeitgeber: Join a top service provider managing €12 billion in pension assets.
  • Mitarbeitervorteile: Work in a dynamic environment with opportunities for professional growth.
  • Warum dieser Job: Be part of a team that shapes investment strategies and impacts financial futures.
  • Gewünschte Qualifikationen: Degree in finance or related field; experience in fixed income management required.
  • Andere Informationen: Fluent in German and English; programming skills are a plus.

Das voraussichtliche Gehalt liegt zwischen 72000 - 100000 € pro Jahr.

Senior Portfolio Manager Fixed Income (f/m/d)

Location: Hamburg

Our client is a well-established leading multi service provider of occupational pension plans. He manages 8 pension plans, including one of the largest company pension funds in Germany. The portfolio management team is responsible for a total of € 12 billion assets under management. The investment strategies of the managed pension plans aim to achieve an attractive performance over the long term and to deliver outstanding results - i.e., mitigation of losses in times of very volatile capital markets. This will be achieved through highly diversified portfolios, which invest across different asset classes in compliance with the regulatory requirements in Germany. Besides traditional real estate, fixed income and equity strategies, which operate globally, alternative investments - in particular private debt and private equity funds - and structured credit mandates are also an integral part of the portfolios.

Main tasks:

  • Formal coverage of global macro, interest rate and credit markets (research, strategy)
  • Management of the direct fixed income investments and different existing fixed income master funds incl. overlays
  • Conducting research and converting outcomes into actionable investment ideas
  • Ownership of the implementation of investment solutions (incl. searches, manager selection, due diligence and monitoring)
  • Enhancing analytical tools to optimize the strategic and dynamic allocations and portfolio compositions
  • Presenting the asset class to internal and external stakeholders (incl. on conferences to external managers and service providers)
  • Contribution to cross-asset strategy development
  • Participation in various investment related projects (e.g. digitalization)

Candidate skills:

  • University degree in finance, economics, business administration, mathematics, or engineering with a good degree or a banking education with capital market-specific qualification (e.g. CFA or CIIA)
  • Several years of relevant industry experience in managing fixed income portfolios and/or fixed income related investment experience with banks, asset managers, pension funds or insurance companies
  • Comprehensive understanding of capital markets in the areas of interest rates, credits, fixed income derivatives and cross asset allocation
  • Proficient in MS-Office, Bloomberg, knowledge of programming languages (VBA, R, SQL) advantageous
  • Communicative, stress-resistant team player
  • Fluent in German and English

Portfolio Manager Fixed Income Arbeitgeber: Ihre Ansprechpartnerin Frau Lena Kahl

Als führendes Dienstleistungs- und Beratungsunternehmen für betriebliche Altersvorsorge in Hamburg bietet unser Kunde nicht nur ein dynamisches Arbeitsumfeld, sondern auch hervorragende Entwicklungsmöglichkeiten für seine Mitarbeiter. Mit einem verwalteten Vermögen von 12 Milliarden Euro und einem engagierten Portfolio-Management-Team fördert das Unternehmen eine Kultur der Zusammenarbeit und Innovation, die es den Mitarbeitern ermöglicht, ihre Fähigkeiten zu erweitern und an bedeutenden Projekten teilzuhaben. Darüber hinaus profitieren die Mitarbeiter von einer attraktiven Vergütung und flexiblen Arbeitsbedingungen, die eine ausgewogene Work-Life-Balance unterstützen.
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Kontaktperson:

Ihre Ansprechpartnerin Frau Lena Kahl HR Team

info@haibach-cie.de

StudySmarter Bewerbungstipps 🤫

So bekommst du den Job: Portfolio Manager Fixed Income

Tip Number 1

Nutze dein Netzwerk! Sprich mit ehemaligen Kollegen oder Kontakten aus der Branche, die dir wertvolle Einblicke in die Unternehmenskultur und die Anforderungen des Unternehmens geben können. Oftmals sind persönliche Empfehlungen der Schlüssel zum Erfolg.

Tip Number 2

Bleibe über aktuelle Entwicklungen in den Kapitalmärkten informiert. Zeige in Gesprächen, dass du die Trends und Herausforderungen im Bereich Fixed Income verstehst. Dies wird dir helfen, dich als kompetenter Kandidat zu positionieren.

Tip Number 3

Bereite dich darauf vor, deine analytischen Fähigkeiten unter Beweis zu stellen. Sei bereit, konkrete Beispiele für deine bisherigen Erfolge in der Portfolioverwaltung zu nennen und wie du analytische Tools zur Optimierung von Portfolios eingesetzt hast.

Tip Number 4

Zeige deine Kommunikationsfähigkeiten! Da du regelmäßig Präsentationen halten und mit internen sowie externen Stakeholdern kommunizieren musst, ist es wichtig, dass du deine Fähigkeit zur klaren und überzeugenden Kommunikation demonstrierst.

Diese Fähigkeiten machen dich zur top Bewerber*in für die Stelle: Portfolio Manager Fixed Income

Portfolio Management
Fixed Income Expertise
Capital Market Analysis
Interest Rate Knowledge
Credit Market Understanding
Investment Strategy Development
Research and Analytical Skills
Manager Selection and Due Diligence
Cross-Asset Allocation
Proficiency in MS-Office
Bloomberg Terminal Experience
Programming Skills (VBA, R, SQL)
Communication Skills
Team Collaboration
Fluency in German and English

Tipps für deine Bewerbung 🫡

Understand the Role: Make sure you fully understand the responsibilities and requirements of the Senior Portfolio Manager Fixed Income position. Tailor your application to highlight your relevant experience in managing fixed income portfolios and your understanding of capital markets.

Highlight Relevant Experience: In your CV and cover letter, emphasize your years of experience in the industry, particularly in managing fixed income investments. Mention any specific achievements or projects that demonstrate your expertise in this area.

Showcase Analytical Skills: Since the role involves enhancing analytical tools and optimizing portfolio compositions, be sure to mention any relevant skills or experiences with programming languages like VBA, R, or SQL, as well as your proficiency in MS-Office and Bloomberg.

Communicate Effectively: Given the need for strong communication skills, ensure your application reflects your ability to present complex information clearly. If you have experience presenting to stakeholders or at conferences, include that in your application.

Wie du dich auf ein Vorstellungsgespräch bei Ihre Ansprechpartnerin Frau Lena Kahl vorbereitest

Understand the Market Landscape

Make sure to familiarize yourself with the current trends in global macro, interest rate, and credit markets. Being able to discuss recent developments and their potential impact on fixed income investments will demonstrate your expertise and preparedness.

Showcase Your Analytical Skills

Prepare to discuss how you have enhanced analytical tools in previous roles. Be ready to provide examples of how you've optimized strategic allocations and portfolio compositions, as this is crucial for the role.

Communicate Effectively

Since the role involves presenting asset classes to internal and external stakeholders, practice articulating complex investment strategies clearly and confidently. This will help you stand out as a communicative team player.

Highlight Relevant Experience

Be prepared to discuss your specific experience managing fixed income portfolios. Highlight any relevant qualifications like CFA or CIIA, and be ready to explain how your background aligns with the company's investment strategies.

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