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Senior Fixed Income and Derivative Portfolio Manag

Job in Des Moines, Polk County, Iowa, 50319, USA
Listing for: PC Recruiter
Full Time position
Listed on 2026-10-04
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Reporting, Financial Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 160000 - 185000 USD Yearly USD 160000.00 185000.00 YEAR
Job Description & How to Apply Below
Senior Fixed Income and Derivative Portfolio Manag

Job Description

Senior Fixed Income and Derivative Portfolio Manager – Our client seeks a Senior Fixed Income and Derivative Portfolio Manager to join their team.

You will earn a starting salary up to $185,000 per year, based on your experience. Plus, enjoy an excellent company benefits package. You will work Monday-Friday 8:00am-5:00pm 100% on-site/in the office.

Some of your responsibilities as Senior Fixed Income and Derivative Portfolio Manager will include:

  • Identifying and executing trading opportunities and risks cross all areas of the desk including derivatives, Treasuries, Agencies, Fed Funds, Reverse Repurchase Agreements and more
  • Demonstrating an in-depth knowledge of and can cover/assist in all areas of the desk including derivatives, Advances, Treasuries, Agencies, Fed Funds, Reverse Repurchase Agreements, Mortgage structured products and more
  • Participating in decision making and implementation of strategic initiatives by working independently or with others
  • Ensuring compliance with various Bank regulation and policies as it relates to treasury functions
  • Preparing presentations for senior leadership and board of directors with insights into treasury reports
  • Providing informal mentorship and leadership to other team members
  • Successfully operating within a number of systems, including Bloomberg, Markit Wire, Trade Web and more
  • Other duties as assigned

To qualify for this Senior Fixed Income and Derivative Portfolio Manager position, you must have:

  • Bachelor’s degree in finance, economics, statistics, accounting, or related
  • Masters of Business Administration and/or Chartered Financial Analyst designation preferred
  • Minimum of 7 years of investment experience
  • Extensive knowledge of SQL, Bloomberg, Trade Web, Intex, Poly Paths and more
  • Extensive knowledge of the markets
  • Extensive understanding of finance, economics, accounting, investment, and banking principles and practices
  • Advanced understanding of fixed income analysis, mortgage prepayment behavior, advance pricing and derivative pricing
  • Sound understanding of risk metrics, risk framework, and Asset Liability Management practices
  • Strong communication and presentation skills

We are an Equal Opportunity Employer.

Position Requirements
10+ Years work experience
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