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Fund Manager, Fixed Income Jobs

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Explore a rewarding career managing debt securities and generating returns with Fund Manager, Fixed Income jobs. This senior-level role within the asset management industry is central to the financial ecosystem, focusing on the management of investment portfolios composed of bonds and other fixed income instruments. Professionals in this field are entrusted with significant capital and are responsible for making critical investment decisions to achieve specific financial objectives for their funds and clients. A Fund Manager in the fixed income space typically undertakes a wide array of core responsibilities. Their primary duty is the hands-on management of fixed income funds, which involves constructing and continuously adjusting a portfolio of assets. This includes government and corporate bonds, municipal debt, and other credit instruments. The goal is consistently to deliver competitive, risk-adjusted returns that meet or exceed the fund's stated benchmark and performance goals. To inform these decisions, managers conduct extensive research. This involves a dual approach: top-down macroeconomic analysis to forecast interest rate trends, inflation, and global economic health, and bottom-up credit research to assess the financial stability and default risk of individual bond issuers. Based on this analysis, they generate actionable investment recommendations and execute trades. Beyond portfolio management, these professionals often play a key client-facing role. They manage relationships with institutional clients, such as pension funds, insurance companies, and endowments, providing updates on performance and strategy. Collaboration with internal sales and product specialist teams is also common to support asset growth, develop new financial products, and deliver effective client servicing. Crucially, every action is governed by a strict adherence to internal compliance standards, regulatory requirements, and rigorous risk management protocols to protect investor capital. The typical requirements for Fund Manager, Fixed Income jobs are demanding, reflecting the responsibility of the position. A university degree in Finance, Economics, or a related field is standard, with a Chartered Financial Analyst (CFA) designation being highly preferred by many employers. Candidates are generally expected to have several years of progressive experience, often five or more, in fixed income research, trading, or analysis. In-depth knowledge of various fixed income markets—such as government bonds, investment-grade and high-yield corporate credit, and emerging market debt—is essential. Familiarity with using financial derivatives like futures, options, and swaps for hedging and portfolio enhancement is a valuable skill. Success in this high-stakes profession also demands strong analytical and quantitative abilities, impeccable decision-making under pressure, and excellent communication and interpersonal skills to articulate complex strategies to teams and clients. For those with the requisite expertise and drive, Fund Manager, Fixed Income jobs offer a challenging and intellectually stimulating career at the heart of global finance.

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