Corporate Bond Portfolio Manager (f/m/d) 80 - 100%
Date de publication :
22 janvier 2025Taux d'activité :
80 – 100%- Lieu de travail :Zurich Hauptgebäude
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.
Swiss Life Asset Managers has a long and successful track record of managing Fixed Income assets. You will work in an international team managing global corporate bonds for internal and external institutional clients. The team is responsible for the credit analysis, portfolio strategy & trading and the communication with internal and external clients. We are currently looking to strengthen our Investment Grade Credit team with an experienced Corporate Bond Portfolio Manager (f/m/d). There is an intensive interaction with other credit teams (high yield, leveraged loans, infrastructure debt, and money markets) as well as with other asset classes such as Rates & Emerging Markets, Equities, and FX.
Responsibilities
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Interlink between fundamental Credit Portfolio Management and quantitative Credit research team
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Fundamental coverage of selected industry sectors and issuers including formal internal publication
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Market screening for investment opportunities with a strong emphasis on relative value analysis
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Management of Investment Grade Corporate Bond Portfolios including trading of bonds and related derivatives in Credit, Rates and FX
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Actively participate in shaping the credit investment strategy and formulating the Swiss Life house view
Experience
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Bachelor’s or master’s degree, and CFA charter holder or equivalent post graduate degree
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Extensive experience (5+ years) as a portfolio manager, strategist, or in a comparable function
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Expertise in applying quantitative methods to Fixed Income market data and processes. Programming skills a must (Python, R, SQL, and similar)
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Ability to structurally enhance investment processes at various stages (analysis, portfolio construction, implementation) based on quantitative methods
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Capacity to develop quantitative models to rate corporate issuers and to assign internal ratings based on those models in large scale
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Confident and convincing team-player with strong communication skills
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Highly fluent in English; German and French are a plus
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.
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