Our client is a large Asset Manager looking to create a new position of

Senior Portfolio Manager – Credit and High Yield


  • Responsible to define the investment strategy within Corporate Bonds and Emerging Markets debt investment universe
  • Manage portfolio(s) accordingly
  • Responsible to define and monitor the Credit risk framework
  • Responsible to analyze the capital structure and advise on different credit risks (issuers)
  • Advise the Investment Committee on the prospect of the asset class
  • Accountable for the relative performance of the managed strategies
  • Act as the back-up for other strategies as needed
  • Responsible for the best execution of his strategies as well as trades executed on behalf of other PMs
  • Responsible for the respect of deadlines and the excellence in the quality of deliverables

Key skills:

  • University degree or equivalent, CFA a plus
  • At least 10 years of experience in relevant portfolio management and/or Credit analysis
  • Stay ahead of the curve in terms of regulations, developments, new products and market trends
  • Passion for financial markets
  • Discretion and low public profile
  • Good oral and written communication skills in French and English
  • Excellent user of information systems (such as Bloomberg, Swiskey or Bloomberg EMSX, Excel and financial databases)
  • Analytical skills and excellent attention to detail
  • Self-driven and capable of working. independently towards precise objectives
  • Proactive team-player with positive mindset and can-do attitude
  • Open minded, ready to take proactive responsibility and accountability on all aspects of his role

Apply Online

Touche 'Enter' = Envoyer. Les champs avec un astérisque (*) sont obligatoires. RGPD: