Int Fixed-Income PM B

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State Street Corporation (NYSE: STT) is the world's leading provider of financial services to institutional investors including investment servicing, investment management and investment research and trading. With $23.441 trillion in assets under custody and administration and $2.065 trillion in assets under management at September 30, 2012, State Street operates in 29 countries and more than 100 geographic markets and employs 29,650 worldwide. For more information, visit State Street's web site at www.statestreet.com.

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With more than 29,650 employees across 29 countries, at State Street, our people are our greatest asset. We recognize that highly skilled, engaged and productive employees are essential to our success. Our company values reflect our commitment to employee engagement, Global Inclusion and corporate social responsibility -- to help you build a fulfilling career. Around the world, we aim to be an employer of choice by offering competitive compensation and benefits, personal and professional development opportunities, and a work environment that promotes a diverse array of people, ideas and skills.

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We encourage you to explore the possibilities that a career at State Street can offer you.

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 State Street Global Advisors (SSgA) is currently recruiting a Portfolio Manager within its Boston based Fixed Income Beta team. The team is responsible for managing a wide range of fixed income strategies as well as ETFs, maintaining and improving investment processes, and for providing original insight on fixed income markets.  The Portfolio Manager will be responsible for managing portfolios on a daily basis.  Additionally, the PM will have project work and client interaction periodically.

The responsibilities of the individual in this position include:

 - Successfully constructing and managing index tracking fixed income portfolios based on the investment guidelines (primary responsibility).
- Maintaining a deep understanding of global fixed income markets and their structure.
- Understanding and enhancing processes on both institutional and ETF product lines

- Working on and providing ideas for new strategies and funds.

- Contributing towards thought leadership by writing reports on investment themes, for internal and external distribution.

 Degree qualified in numerate/financial discipline or equivalent.
- Fixed income portfolio management experience (3 to 5yrs).
- Knowledge of fixed income benchmarks methodology.
- Familiarity with analytical systems such as Barclays POINT and Yieldbook.
- Advanced Excel skills.

- MBA and/or CFA qualified or undertaking CFA program is highly preferred but not mandatory.
- Good writing skills and an ability to articulate market views effectively.

- Experience with Investment Grade and/or High Yield credit a plus.

April 17, 2013 • Tags:  • Posted in: Financial

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