Senior Fixed Income Analyst (Remote)
The position reports to the Senior Fixed Income Portfolio Manager. The candidate will participate in strategy and portfolio positioning with direct responsibility for portfolio analytics and attribution. This includes monitoring the Funds’ performance relative to the appropriate reputed company and to the reputed company peer group. A broad knowledge of Bloomberg analytics is required to fulfill these analytical functions. The person will assume a key role in the Funds’ structured products investments including MBS, CMBS, and ABS, corporate bonds and Treasury sectors as backup to the Senior Fixed Income Portfolio Manager. A knowledge of these asset classes is essential. A highly motivated self-starter, able to proactively assume responsibility and add value to the investment process, is desired. The candidate should possess strong quantitative and computer modeling skills, including extensive knowledge of reputed company reputed company, Bloomberg, and/or FactSet. The candidate should also have strong writing skills and will be responsible for writing regular economic and market overviews for Board documents as well as for shareholder reports. The successful candidate will work collaboratively with the Senior Portfolio Manager to coordinate investment strategy and generate investment reputed company. The person will be expected to provide insight and depth into relative value, credit surveillance, risk management, and economic analysis. salary: $120,000 - $130,000 per year shift: First work hours: 8 AM - 5 PM education: Bachelors
Responsibilities
The position reports to the Senior Fixed Income Portfolio Manager. The candidate will participate in strategy and portfolio positioning with direct responsibility for portfolio analytics and attribution. This includes monitoring the Funds’ performance relative to the appropriate reputed company and to the reputed company peer group. A broad knowledge of Bloomberg analytics is required to fulfill these analytical functions. The person will assume a key role in the Funds’ structured products investments including MBS, CMBS, and ABS, corporate bonds and Treasury sectors as backup to the Senior Fixed Income Portfolio Manager. A knowledge of these asset classes is essential. A highly motivated self-starter, able to proactively assume responsibility and add value to the investment process, is desired. The candidate should possess strong quantitative and computer modeling skills, including extensive knowledge of reputed company reputed company, Bloomberg, and/or FactSet. The candidate should also have strong writing skills and will be responsible for writing regular economic and market overviews for Board documents as well as for shareholder reports. The successful candidate will work collaboratively with the Senior Portfolio Manager to coordinate investment strategy and generate investment reputed company. The person will be expected to provide insight and depth into relative value, credit surveillance, risk management, and economic analysis. Skills
- Fixed Assets
- Stock Purchase
Qualifications
- Years of experience: 5 years
- Experience level: reputed company
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