- Career Center Home
- Search Jobs
- Senior Portfolio Manager
Description
About the Team
The Fixed Income Strategies team manages over seventeen billion across five portfolios spanning rates, investment grade and leveraged credit, and structured products. The team integrates fundamental and quantitative insights and manages both long-only and long/short strategies. We emphasize disciplined portfolio construction, rigorous risk management, and collaborative decision-making across asset classes.
Position Overview
We are seeking an experienced Senior Portfolio Manager to join our investment team. This role is responsible for conducting in-depth fundamental credit analysis across high yield and leveraged loan issuers, producing investment recommendations, and supporting portfolio construction. The ideal candidate brings strong analytical rigor, market awareness, and a proven ability to identify relative value opportunities in below-investment-grade debt.
Key Responsibilities
- Perform investment research inclusive of credit analysis, deal write-ups, and financial modeling
- Evaluate relative value across bonds, loans, and other credit instruments
- Monitor existing portfolio holdings and provide ongoing risk assessments
- Collaborate with portfolio managers on trade ideas and portfolio positioning
- Engage with traders on market dynamics, liquidity, new issue
- Track market trends, sector developments, and macroeconomic factors impacting credit markets
- Generate written research reports and present investment recommendations to the investment team
- Establish and maintain working relationships and dialogue with sell-side analysts, company management, industry experts and rating agencies,
- Lead, mentor, and develop less seasoned credit analysts
- Partner with quantitative and technology teams to build and enhance research and analytics platforms
- Provide leveraged finance expertise across the firm and participate in cross-market strategies and trades
Qualifications
- Minimum 10 years of experience in leveraged finance analytics, including advanced financial modeling and valuation skills
- Demonstrated success identifying relative value opportunities within covered sectors
- Strong understanding of credit markets, capital structures and distressed situations
- Broad understanding of global fixed income and capital markets
- Strong ability to collaborate effectively within a small team and across investment disciplines
- Excellent written and verbal communication skills
- Strategic mindset paired with exceptional attention to detail
- Team-oriented professional with a positive, constructive approach
- Familiarity with CLOs and private credit preferred
- Proficiency with Bloomberg, Aladdin, or similar tools