Portfolio Manager- Infrastructure

Main Responsibilities:

• Be part of an active portfolio management team dedicated to asset management in Structured Finance, Infrastructure Debt, Credit and Execution.

• Monitor and actively manage the portfolio of infrastructure bonds

• Analyse potential transactions and present these to various portfolio management Committees

• Negotiate and execute transactions with counterparties

• Actively participate in sharing credit market information through conference calls with Risk department and monitor corporate actions.

Qualifications and Experience:

• University graduate with strong academics.

• Preferably a postgraduate qualification and/or a professional qualification such as CFA.

• Candidates should ideally have at least 4 to 8 years experience in the financial markets.

• Experience of Fixed Income and derivatives is essential, and knowledge of Infrastructure assets and structured products would be considered an advantage

• Language Skills- Knowledge of Italian and/or Spanish will be considered an advantage.

For a Private and Confidential Discussion about this exciting opportunity please contact David Worrell +353 (0)1 8746770 or dworrell@paragonexecutive.com