Fixed Income fund mgrresearch recruitment

Role will be a mix of macro economic research contributions and manager research. Funds are all a blend of 3rd party managers rather than underlying instruments but as the principal  regional expert on FI candidates will ideally be familiar with as broad a selection of FI instruments as possible , ie emerging markets, high yield, credit, rates etc. This hire will be someone who has sufficient understanding of the asset class to enable them to understand and select best of breed managers in the asset class and blend them into portfolios.

In addition the role will have clientRM contact and some marketing onus . Candidates will need to have managed assets in the broadest possible FI space as a portfolio manager and ideally will have had experience managing or researching 3 rd party managers in the asset class. The desire is to hire gravitas in the asset class. It is expected that this hire will be 30+ in terms of age . They will be reporting to a london based CIO and will be a senior contributor to a small team.