- Execute trades with a focus on best execution
- Track issuer-specific, market, and macroeconomic developments
- Book transactions with high accuracy
Credit Analysis: - Conduct research and analysis on high-yield bond issuers
- Monitor bond performance, creditworthiness, valuations, and industry trends
- Track issuer-specific, market, and macroeconomic developments
- Provide insights and updates on portfolio composition and risk drivers
Trading Support: - Execute trades with a focus on best execution
- Monitor market conditions and update trading records
- Book transactions with high accuracy
Currency Risk Hedging: - Assess FX exposures and mitigate risk using hedging models
- Execute FX forward transactions
Marketing Support: - Assist in preparing and updating marketing materials reflecting fund performance and portfolio composition
Qualifications: Education: - Bachelor’s degree in Finance or Economics
- Master’s degree or progress toward CFA, CISI, or CAIA is considered an asset
Experience: - Minimum 2 years’ experience in financial markets preferred
Skills: - Strong Excel proficiency
- Excellent attention to detail and organizational skills
Training & Development: The successful candidate will receive comprehensive training across all areas of the role and work closely with the portfolio management team for mentorship and continuous professional development.
What’s on Offer: - Competitive salary
- Full benefits package