PORTFOLIO MANAGER/SENIOR ANALYST – HIGH YIELD CORPORATE BONDS recruitment
Stanton Asset Management Inc. is the portfolio advisor to O'Leary Funds, private clients and institutional clients. Stanton is responsible for over $1.5 billion of assets under management invested in Canadian and global markets, including investment grade bonds, high yield bonds, convertible bonds and equities.
Stanton Asset Management has an attractive opportunity for a Portfolio Manager/Analyst– High Yield Corporate Bonds.Candidates must beable to take initiative, capable of handling multiple assignments simultaneously and have several years of experience in investment management.
Salary is competitive based on experience and capabilities.
QUALITIES SOUGHT
• Intelligent, resourceful, self-motivated and a team player
• Committed and disciplined with a strong work ethic
• Able to quickly analyze credit quality and respond to requests in a timely manner
• Good investment decision making skills
RESPONSIBILITIES
• Monitor the high yield and convertible debt markets, portfolios and investment positions
• Develop and maintain analysis of issues and securities
• Evaluate securities and develop buy/sell recommendations
***Other Responsibilities will be commensurate with experience and capabilities.
SKILLS AND REQUIREMENTS
• Experience with corporate bonds, credit analysis, trading and portfolio management
• Undergraduate degree in Finance (MBA and CFA are preferred)
• Over 7 years of related experience
• Excellent communication, presentation and managerial skills
• Excellent quantitative and qualitative skills
Candidates are requested to send their CV with a cover letter to: careers@stantonasset.com .
When replying please quote "BONDPM0512" in the subject line of your email. Application Deadline: May 4th, 2012.
We thank all applicants for their interest in Stanton Asset Management, however only candidates whose backgrounds best match our requirements will be contacted.