Job description
Experienced Fixed Income Portfolio Manager. Entrepreneurial team player to be a team member of the fixed income segment of the asset management team.
responsibilities will include conducting in-depth research and valuations of companies – listed and unlisted
maintaining industry/sector information, analysis and data
Conducting macro and micro, business and financial statement analysis and develop strategic and tactical views on the markets
Preparing feasibility/investment reports (including highlighting key transaction risks) from both a debt and equity funding perspective and making recommendations
Cash flow modelling, portfolio construction and analysis
Fixed Income Portfolio Management, Fixed Income asset allocation, Investment Committee Meetings and presentations
Performance measurement and Risk Management
Client engagement – Preparing and making client and other presentations
Preparation of Newsletters and factsheets– Monthly/Quarterly
Qualifications & Training:
Strong Academics
O’ Levels (including English & Mathematics)
HND/BSc
Professional numerate qualification + postgraduate degree
CFA Charterholder or in final stages of the CFA exams
Tasks
Portfolio Management:
Portfolio modelling and construction
Duration Management
Valuation of Bonds, Treasury Bills and other fixed income instruments
Execute Fixed Income transactions
Credit modelling & monitoring
Initiate, monitor, & successfully execute primary trades, liaising with investment operations
Monitor and track coupons, inflows and outflows
Hedging and hedging strategies
Creating and structuring fixed income funds, portfolios and other products
Daily fixed income market commentary and updates
Interested and suitably qualified candidates should visit FBN Capital Asset Management Caree Page on LinkedIn
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