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Portfolio Manager, Leveraged Loans

Employer
Finance Network
Location
New York, USA
Salary
Highly Competitive Total Compensation Package
Closing date
Sep 24, 2023
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Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
The successful candidate will be responsible for:
  • Managing a multi-billion dollar portfolio, including portfolio construction and risk management;
  • Taking ownership of capital allocation to produce strong returns;
  • Tracking market developments and economic activity to manage risk and identify investment opportunities;
  • Collaborating effectively with the research team to develop trade ideas and investment theses;
  • Building relationships with key stakeholders internally;
  • Articulating investment decisions to a sophisticated investor base.

The successful candidate will bring:
  • 10-15 years' relevant experience (buy and/or sellside), of which a minimum of 5 years' should be buyside-focused portfolio management;
  • Excellent communication skills (written/verbal);
  • Strong relationship management skills;
  • Able to interface effectively with sophisticated clients as well as other market players;
  • Highly collaborative and thrives in a collegial team environment;
  • Strong macro antenna;
  • Comfortable providing a contrarian viewpoint;
  • Masters degree in a quantitative discipline strongly preferred;
  • Professional designation, ie: CFA strongly preferred.

Competitive compensation includes a base salary to $300,000 per annum + performance-linked bonus and a market-leading benefits package.

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