- Manage and implement Fixed Income investment strategies across portfolios.
- Conduct macroeconomic, industry and company-level research to identify investment opportunities.
- Evaluate G-Secs, corporate bonds and other fixed-income instruments.
- Perform credit research and credit allocation for investment decisions.
- Monitor portfolio performance against benchmarks and peer funds and recommend changes.
- Support the Fund Manager Fixed Income and Head of Fixed Income on investment decisions and portfolio strategy.
- Ensure compliance with IRDAI regulations, internal investment policies and risk limits.
- Prepare and present fund performance, market outlook and investment reports to senior management/Investment Committee.
- Track changes in financial markets, regulations and investment practices.
- Guide research teams and contribute to generation of new investment ideas.
Preferred candidate profile
- 12+ years of relevant experience in Asset Management / Mutual Funds / Insurance / Investment Management.
- Minimum 3 years of experience as a Fixed Income Fund Manager.
- Solid experience in Fixed Income / Debt Portfolio Management.
- Strong understanding of G-Secs, Corporate Bonds, Money Market and Debt Instruments.
- Experience in Credit Research / Credit Allocation.
- Good understanding of interest rates, macroeconomics and financial markets.
- Experience in portfolio performance analysis against benchmark and peers.
- Strong understanding of investment regulations, risk management and compliance.
- Good communication and presentation skills for interaction with senior management and Investment Committees.
- Candidates from Asset Management Companies, Mutual Funds, Life Insurance companies, Investment Management firms and Fixed Income investment teams would be relevant.
📌 Fixed Income Fund Manager (Mumbai)
🏢 Mancer Consulting Services
📍 Mumbai
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