Job Summary
A company is looking for a Portfolio Manager (open to remote).
Key Responsibilities
- Develop and recommend actionable portfolio strategies while supporting yield enhancement initiatives
- Interact with asset liability management and oversee strategy implementation and investment recommendations
- Manage portfolio monitoring, reporting, and analysis, ensuring compliance and resolving operational issues
Required Qualifications
- Bachelor's Degree in Economics/Finance with 7+ years of relevant experience or a Master's degree with 5+ years of experience
- Preferred Master's degree in Economics/Finance, ASA, FSA, FRM, or CAIA
- 5+ years of corporate credit, alternative investment, and fixed income management experience in an insurance environment
- Background in Research, Trading, and/or Portfolio Management
- Chartered Financial Analyst (CFA) or significant progress towards it is preferred
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