Fixed Income Portfolio Manager

Swiss Life Asset Management AG

  • Publication date:

    03 July 2024
  • Workload:

    100%
  • Contract type:

    Unlimited employment
  • Place of work:

    Zürich

Fixed Income Portfolio Manager

Heute die Chancen von morgen erkennen. Ihre und unsere.

Bei Swiss Life Asset Managers bringen Sie Ihre individuellen Talente und Expertise in einem motivierten und flexiblen Arbeitsumfeld ein. Sie übernehmen ein hohes Mass an Verantwortung, meistern anspruchsvolle Herausforderungen selbstständig mit Gestaltungsspielraum und in Zusammenarbeit mit professionellen Teams.
Bei Swiss Life Asset Managers zu arbeiten, heisst Dynamik im stabilen Umfeld zu leben. Unsere Mitarbeitenden machen den Unterschied. Der Mensch zählt.
Flexible Arbeitsmodelle ermöglichen Ihnen berufliche und persönliche Ambitionen in Einklang zu bringen.

The Index Solutions team of Swiss Life Asset managers is seeking a highly skilled and experienced Fixed Income Portfolio Manager (f/m/d) to join our dynamic team. In this role, you will be responsible for managing global institutional bond funds and mandates with passive investment strategies.

If you’re passionate about high quality index portfolio management and thrive in a collaborative environment, we‘re looking forward to your application!

Responsibilities

  • Management of institutional bond funds and mandates with index replicating investment strategies, including portfolio construction and trading.
  • Handling cash and foreign exchange operations.
  • Portfolio onboardings and transitions, new issues and corporate actions.
  • Monitoring portfolio exposure, risk and performance.
  • Perform monthly adjustments for currency hedging.
  • Monthly rebalancing of funds and mandates to align with investment objectives.
  • Collaborate with compliance, custodian banks, traders, and distribution teams.
  • Project Management to further enhance investment process.
  • Deliver compelling presentations to clients and consultant advisors.
  • Support client advisors with detailed analyses and investment proposals.

Experience

  • An experienced professional with a profound background in passive portfolio management (CHF, Emerging Markets, Global Aggregate Portfolios, etc.).
  • Bachelor’s degree in Business Administration or Science, majoring in Banking and Finance.
  • Minimum of 5 years of relevant experience within the financial sector.
  • Autonomous individual with a proactive and independent approach to work.
  • Problem-solver with a keen analytical mind, reliable, and meticulous in execution.
  • Collaborative team member with excellent communication skills.
  • Proficiency in German and English is required.
  • Expertise in MS Office and Bloomberg, with familiarity in SimCorp Dimension and Barra considered advantageous.

Ihre Benefits​
Wir unterstützen unsere Mitarbeitenden, ihre berufliche Entwicklung und Lebensgestaltung über alle Lebensphasen hinweg optimal zu gestalten. Unsere attraktiven Vorteile tragen einen Teil dazu bei. 

Ihr Kontakt

Nicole Bienz

Telefon:

+41 43 547 69 07