Hybrid Senior International Markets Portfolio Administrator

Posted 23 hours ago

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About the role

  • Senior Portfolio Administrator responsible for analyzing and managing fixed-income investments at BAC. Conducting market analysis and presenting strategies to executive committees.

Responsibilities

  • Assess local and international economic conditions, identifying risks and opportunities that shape portfolio strategy.
  • Conduct credit and sector analysis within international fixed-income markets, evaluating credit quality, spreads, duration, and relative positioning.
  • Define strategies considering market trends, relative valuation of securities, risk diversification, and optimization of the risk-return profile.
  • Prepare and defend proposals before executive committees, articulating technical analysis through clear and strategic storytelling.

Requirements

  • Degree in Finance, Economics, or Financial Markets
  • 5+ years of experience managing financial portfolios
  • 5 years of experience trading international fixed income
  • Advanced Bloomberg proficiency
  • Strong executive presentation and storytelling skills
  • Bilingual (English required)
  • Technical expertise in investments, capital markets, macroeconomics, quantitative analysis, and market risk

Benefits

  • Private health insurance
  • Employee solidarity association
  • Additional paid leave days
  • Preferential financial benefits
  • Agreements with universities, gyms, and healthcare centers
  • Corporate volunteering opportunities

Job title

Senior International Markets Portfolio Administrator

Job type

Experience level

Senior

Salary

Not specified

Degree requirement

Bachelor's Degree

Location requirements

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