The Sr Insurance Fixed Income Portfolio Manager will play a critical role in supporting the strategic management and governance of the company’s multi-billion-dollar public / private, Investment Grade and Below investment grade fixed income portfolio. This individual will work closely with the Head of Fixed Income and other investment leaders to ensure that portfolios are managed in alignment with investment objectives, risk tolerances, regulatory requirements, and broader enterprise goals. This role requires a strong understanding of fixed income markets, portfolio construction, risk analytics, and insurance asset-liability dynamics.
Education: Bachelor’s degree in finance, economics, accounting, or related field required. MBA, CFA, or progress toward CFA strongly preferred.
Experience: 10+ years of experience in fixed income portfolio management, oversight, or risk management.
Skills: Strong analytical and quantitative skills, exceptional communication, proficiency in Excel, Bloomberg, Python, and fixed income analytical systems.
At Guardian, you’ll have the support and flexibility to achieve your professional and personal goals. We provide opportunities for skill-building, leadership development, and philanthropic activities, surrounded by diverse colleagues with high ethical standards.
Guardian is an equal opportunity employer. All qualified applicants will be considered for employment without regard to age, race, color, creed, religion, sex, affectional or sexual orientation, national origin, ancestry, marital status, disability, military or veteran status, or any other classification protected by applicable law.