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Principal Responsibilities
The Portfolio Manager will be responsible for managing relative value and tactical portfolios in emerging market rates and FX, with a focus on CEEMEA and GCC markets. The role involves active risk taking across interest rate swaps, FRAs, FX and cross-currency swaps, together with the development of quantitative analytics, screening tools and models to support investment decisions, drawing on direct experience trading and pricing these markets at a major financial institution.
Key Responsibilities:
Qualifications/Skills Required
Job ID: 153513357
Skills:
Power Bi, Sql, Tableau, commercial card products, Portfolio Management, portfolio economics, analytical tools
Skills:
capital raising , risk management, Derivatives, quantitative and analytical capabilities, direct lending, hedge fund strategies, portfolio and risk analytics tools, private credit, portfolio construction, traditional fixed income, Equities
Skills:
Power Bi, Tableau, Sql, Commercial Card Products, Product Management, Analytical Skills, Pricing Strategies, Customer Engagement Strategies, Card Portfolio Economics
Skills:
Pandas, Sql, Pytorch, Python, Tensorflow, Numpy
Skills:
Python, Risk management, Systematic models, Quantitative Research, R, Portfolio solutions, Portfolio Management