SVP – Portfolio Management
The role will be focused on the International Portfolio thus will require candidates to have experience in the Global Fixed Income and FX / Rates background.
Given international nature of this role, the individual will work with local Investment offices in the development and execution of portfolio strategy and risk management.
Candidates will have:
- 10+ years of portfolio management / liability management experience.
- Prior experience managing investment professionals.
- Deep understanding of the Global Fixed Income, Foreign Exchange, Rates, Derivatives Markets. Experience only in the US Capital Markets backgrounds is not ideal.
- Strong understanding of Insurance industry: Liabilities, Regulatory Frameworks, and general insurance markets.
- MBA/Masters and or CFA
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