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Portfolio Manager – Fixed Income Investments

Job Description

About the Opportunity

Portfolio Manager - Fixed Income Investments

Embark on a journey where your unique contributions are celebrated, and your professional growth is embraced. At ADCB, we nurture a diverse, inclusive community where every voice is valued.

Responsibilities

  • Manage and actively execute a corporate credit investment portfolio by developing, implementing and refining portfolio strategies across developed and emerging markets
  • Position exposures across capital structures, tenors and currencies
  • Continuously assess portfolio composition to optimise liquidity, capital deployment and risk weighted asset utilisation
  • Devise and implement corporate credit strategies
  • Actively manage portfolio growth within approved limits
  • Identify, structure and seek approval for new market, product or issuer opportunities
  • Oversee portfolio construction and execution
  • Execute and supervise primary and secondary market transactions
  • Manage portfolio rebalancing and trade lifecycle activities
  • Monitor credit, market and liquidity risks
  • Review issuer performance, ratings movements, spread behavior, stress scenarios and portfolio attribution

About You

The ideal candidate should have the following experience:

  • At least 8 years of experience in Corporate Credit or Fixed Income portfolios
  • Bachelor’s Degree in Finance, Economics, Mathematics, or related discipline
  • CFA, FRM, or equivalent preferred
  • Corporate Credit Analysis
  • Fixed Income Markets and Instruments
  • Financial Statement Analysis
  • Portfolio Construction and Risk Management
  • Interest Rate and Spread Risk Awareness
  • Liquidity and Capital Management
  • Investment Governance and Controls
  • Stakeholder Communication and Collaboration

Benefits

At ADCB, we are dedicated to creating a respectful, caring and disciplined work environment that aligns with your career ambitions.