Senior Portfolio Manager managing Insight's global rates portfolios. Collaborating closely with teams and clients to drive investment strategies and grow client relationships.
Responsibilities
Generating investment ideas in global rates markets
Ability to operate within and adapt to Insight’s established investment process
Focus on portfolio construction and ability to work across a large number of portfolios given the different investment objectives, opportunity sets and guideline freedoms across c.90+ rates portfolios on which the team trades
Understanding Insight’s process outputs and how they relate to target portfolio exposures.
Contribute to the ongoing development of the investment process
Daily monitoring of portfolio risk on multiple systems, ensuring that portfolio exposures are closely aligned with target exposures
Working with Portfolio Analysts to ensure efficient implementation across portfolios
Ability to work closely with other macro focused teams e.g. FX, macro research, Emerging markets and credit as needed
Support internal projects for the business where PM input is required
Develop junior members of the team
Lead client review meetings for global rates strategies with large institutional clients
Working with distribution teams globally as needed in relation to business development
Improving pitching and reporting materials for the team
Helping with client and prospective client enquiries with portfolio and market analysis, including market and portfolio commentary
Requirements
Extensive experience in Portfolio Management (or equivalent risk taking) in global rates markets
Track record of generating alpha in rates markets
Global focus preferred but flexible if the individual has previously focused on Euro, UK, Asia, or local emerging markets
Detail oriented whilst working under pressure and to tight deadlines
Quantitative skills helpful, ability to interpret and question models and perform analyses in Python, Excel, and Bloomberg
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