Sr. Portfolio Manager
- Employer
- Silicon Valley Bank
- Location
- San Francisco, USA
- Salary
- Competitive
- Closing date
- Aug 2, 2019
View more
- Job Function
- Banking
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
You need to sign in or create an account to save a job.
SVB Asset Management is seeking an experienced fixed income portfolio manager to manage corporate cash investment portfolios.
This person will work closely with fixed income
traders, other portfolio managers, credit analysts, and our clients in the innovation economy.
Duties will include the development and execution of portfolio strategy, engagement with our clients and internal partners,
ensuring portfolio compliance and corporate governance standards are met, managing portfolio risk, providing support
to the sales team, performing research and analytics, and providing thought leadership to our clients and partners. The
ability to build internal and external relationships is a must in this position.
The ideal candidate will have a deep understanding of money market and fixed income securities including asset-backed
securities, IG corporate bonds, repurchase agreements, money market funds, treasuries, agencies, fixed and floating
rate securities. Additionally, the candidate will have broad market expertise with excellent communication skills, fluency in
portfolio management concepts and trading systems such as: Bloomberg, TradeWeb, MaketAxess, etc.
Qualifications
Preferred Education: Masters Degree or CFA designation & 5+ years of experience
Minimum Education: Bachelors Degree
Minimum Years of Experience: 5 years
Career Level: Professional
Software: Experience with Bloomberg & MS Excel
This person will work closely with fixed income
traders, other portfolio managers, credit analysts, and our clients in the innovation economy.
Duties will include the development and execution of portfolio strategy, engagement with our clients and internal partners,
ensuring portfolio compliance and corporate governance standards are met, managing portfolio risk, providing support
to the sales team, performing research and analytics, and providing thought leadership to our clients and partners. The
ability to build internal and external relationships is a must in this position.
The ideal candidate will have a deep understanding of money market and fixed income securities including asset-backed
securities, IG corporate bonds, repurchase agreements, money market funds, treasuries, agencies, fixed and floating
rate securities. Additionally, the candidate will have broad market expertise with excellent communication skills, fluency in
portfolio management concepts and trading systems such as: Bloomberg, TradeWeb, MaketAxess, etc.
Qualifications
Preferred Education: Masters Degree or CFA designation & 5+ years of experience
Minimum Education: Bachelors Degree
Minimum Years of Experience: 5 years
Career Level: Professional
Software: Experience with Bloomberg & MS Excel
You need to sign in or create an account to save a job.
Sign in to create job alerts
Sign in or create an account to start creating job alerts and receive personalised job recommendations straight to your inbox.
Create alert