Associate Portfolio Manager - High Yield
The firm is a dynamic, growing, global $9+ billion institutional asset management firm with a 20+ year track record of strong performance and a first class US and European institutional client base. The firm focuses on global fixed income strategies with an emphasis on corporate debt including high yield, convertible debt and hedged strategies.
The firm seeks to hire an Associate Portfolio Manager to work as part of a small dedicated team that manages the firm’s high yield strategy. The candidate must have a minimum of 10 years work experience, including at least 2 years in a high yield portfolio management and/or portfolio construction role.
Candidate must demonstrate excellent high yield credit analytical skills with a multi-sector industry background. Responsibilities to include but not be limited to all aspects of high yield investing, including portfolio management, portfolio construction, analysis and trading. Candidates should have a strong high yield investment record and a passion for the credit investment process.
Candidate must be an excellent communicator, a collegial team player with a hands-on “can-do” attitude and able to excel in a fast paced entrepreneurial, performance driven culture. The successful candidate will be expected to play an active role in the strategic growth of the high yield franchise.
Please send brief cover letter, summary performance record (if available) and resume to: