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BABank Julius Baer & Co. Ltd.

Fixed Income Portfolio Manager(m/w/x)

Zürich
Full-timeOn-siteExperienced

Managing global fixed income funds and discretionary mandates for a wealth management firm. 2-5 years fixed income portfolio manager experience required. Daily portfolio performance reviews, adherence to investment guidelines.

Requirements

  • University Master’s degree
  • CFA advantageous
  • 2 to 5 years fixed income portfolio manager experience
  • In-depth fixed income asset knowledge
  • Proven fixed income portfolio track record
  • Experience with single line bonds
  • Experience across fixed income sub-markets
  • Strong communication capabilities
  • Winning communication towards relationship managers
  • Winning communication towards clients
  • Ability to establish credibility and trust
  • Client-oriented personality
  • Service-oriented personality
  • Accountability for investment performance
  • Passion for investing
  • Buy-side oriented mind-set
  • Thorough understanding of risks
  • Solid judgment
  • Focus on investment performance
  • Deep sense of accountability
  • Reliability
  • Team-attitude
  • Entrepreneurial mind-set
  • Thriving on development opportunities
  • Outstanding analytical skills
  • Quantitative skills
  • Detail-oriented
  • Ability to think critically
  • Ability to form independent opinions
  • Flexible working style
  • Independent working style
  • Structured working style
  • Capacity to manage multiple tasks
  • Ability to work under pressure
  • Very good written English
  • Very good spoken English
  • Other languages are an advantage

Tasks

  • Construct and manage discretionary fixed income mandates
  • Implement specified investment strategies and asset allocation decisions
  • Adhere to defined investment guidelines and restrictions
  • Optimize risk-adjusted performance against market comparators
  • Take accountability for portfolio performance
  • Represent performance internally and to clients
  • Communicate with relationship managers, clients, and prospects
  • Understand and optimize risk and return drivers
  • Construct and maintain actively managed bond portfolios
  • Support the team in various tasks and projects
  • Ensure ethical and compliant behavior
  • Demonstrate values of honesty, integrity, and fair dealing
  • Manage conflicts of interest and ensure risk management
  • Comply with applicable laws and regulations

Work Experience

  • 2 - 5 years

Education

  • Master's degree

Languages

  • EnglishBusiness Fluent

Tools & Technologies

  • CFA
  • Bloomberg
  • MS Excel
  • MS Powerpoint
  • Python
Find the original job posting in its most current version here. Nejo automatically captured this job from the website of Bank Julius Baer & Co. Ltd. and processed the information on Nejo with the help of AI for you. Despite careful analysis, some information may be incomplete or inaccurate. Please always verify all details in the original posting! Content and copyrights of the original posting belong to the advertising company.

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