Senior Investment Grade Portfolio Manager, Public Markets
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-09-15
Listing for:
Jobtailor
Full Time
position Listed on 2026-09-15
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Portfolio & Asset Management, Capital Markets, Financial Analyst
Job Description & How to Apply Below
- Own portfolio management, investment and trading decisions within agreed mandates and governance frameworks
- Manage investment-grade credit exposures across financial and corporate sectors in GBP, EUR and USD markets
- Manage specialist asset classes with external asset managers, including US Municipals and Emerging Markets strategies
- Deliver recurring trading benefits through a Solvency II balance sheet lens
- Generate value-accretive investment ideas and proactively manage credit risk across annuity portfolios
- Drive portfolio construction, optimisation and risk management across investment-grade credit portfolios
- Support portfolio construction and optimisation throughout the lifecycle of Pension Risk Transfer transactions
- Maintain asset-pricing capabilities supporting origination
- Collaborate with Public Markets, Private Markets, Macro Markets, ALM, Research, Strategy and PRT Origination teams
- Build and maintain relationships with bank counter parties and external asset managers
- Evaluate investment opportunities across specialist credit strategies
- Ensure investment and trading activity follows governance frameworks, risk limits and internal protocols
- Communicate investment views, portfolio risks and market opportunities through governance forums and committees
- Provide leadership, coaching and development support to colleagues
- Extensive experience managing investment-grade credit portfolios
- Deep expertise across fixed income markets, including financial and corporate bonds, government debt, private placements and structured credit
- Strong understanding of insurance asset management
- Understanding of Solvency II, UK Matching Adjustment requirements and balance sheet optimisation within annuity portfolios
- Proven experience managing risk, delivering performance and executing transactions directly with market counter parties
- Experience across GBP, EUR and USD markets
- Strong portfolio construction, optimisation and dynamic risk management expertise
- Understanding of economic and regulatory balance sheet metrics, capital efficiency and IFRS
17 outcomes - Strong analytical and research capabilities
- Degree qualified in Finance, Economics, Mathematics, Business or a related discipline
- CFA Charter holder or equivalent professional qualification preferred
- Experience of Aladdin, Python or other investment technology platforms advantageous
- Ability to communicate complex investment issues clearly and concisely
- Strong commercial judgement, market awareness and stakeholder influence
Demonstrates extensive expertise in managing investment-grade credit portfolios, with a strong focus on portfolio construction, optimisation, and risk management. Proficient in navigating fixed income markets and regulatory frameworks, while effectively communicating complex investment strategies and insights.
Highest-signal resume keywords- Investment-Grade Credit Portfolio Management
- Fixed Income Market Expertise
- Solvency II Understanding
- Portfolio Construction and Optimisation
- CFA Charter holder
- Credit Risk Management
- Investment Analysis
- Performance Delivery
- Transaction Execution
- Dynamic Risk Management
- Analytical Capabilities
- Market Awareness
- Communication Skills
- Commercial Judgement
- Stakeholder Influence
- Leadership and Coaching
- CFA Charter holder
- Degree in Finance
- Degree in Economics
- Degree in Mathematics
- Degree in Business
- Investment Management
- Pension Risk Transfer
- Structured Credit
- Corporate Bonds
- Government Debt
- Private Placements
- Regulatory Compliance
- Capital Efficiency
- IFRS
17 - GBP, EUR and USD Markets
- Aladdin
- Python
Position Requirements
10+ Years
work experience
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