Corporate Debt Analyst & Portfolio Manager recruitment
Leading Multi Fund Hedge Fund Manager, London or Monaco
KEY RESPONSIBILITIES:
- Analyse European and US corporate bonds
- Work within a team managing a diversified portfolio
- Pitching new bond ideas
- Changes to allocation and duration
KEY SKILLS EXPERIENCE:
- Minimum of 10 years relevant experience
- Previous portfolio trading experience
- Excellent understanding of trading strategies including capital structure derivatives
- Minimum of bachelors degree educated with a strong Business judgement
- Strong mathematical skills including Discount Cash Flow Bond Analytics
- Ability to deconstruct a balance sheet and forecast cash flows
- A results orientated person with excellent attention to detail, interpersonal analytical skills
April 8, 2012
• Tags: Asset Management careers in the UK, Corporate Debt Analyst & Portfolio Manager recruitment • Posted in: Financial