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.