Portfolio Analyst, Fixed Income
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-09-18
Listing for:
Jobtailor
Full Time
position Listed on 2026-09-18
Job specializations:
-
Finance & Banking
Portfolio & Asset Management, Financial Analyst, Risk Manager/Analyst
Job Description & How to Apply Below
- Support Portfolio Managers in managing discretionary fixed income portfolios for International Region clients
- Contribute to investment and portfolio construction decisions across government bonds, corporate credit, currency, securitised assets, and specialist sectors
- Assist with investment manager research, selection, and ongoing oversight
- Help design, develop, and implement investment strategies and portfolio solutions
- Develop understanding of fixed income markets, manager universes, and portfolio positioning
- Analyse portfolio performance, risk metrics, and underlying manager results
- Maintain, enhance, and document portfolio and risk management processes
- Support integration of technology and AI-enabled tools
- Assist with portfolio performance reporting and investment materials
- Build relationships with Portfolio Management, Manager Research, Investment, Operations, and external investment manager teams
- Support client management and business development initiatives where appropriate
- Previous experience within investment management, investment consulting, asset management, or a related financial services environment
- Genuine passion for investment markets and portfolio management
- Strong analytical and quantitative skills
- Excellent attention to detail and highly organised approach
- Strong problem-solving skills
- Ability to work independently and collaboratively
- Effective communication skills
- Experience using investment data and analytical tools
- Proficiency with Microsoft Excel and other business applications
- Three or more years of investment industry experience (standout qualification)
- Experience with fixed income portfolios, multi-manager funds, or manager research
- Knowledge of portfolio construction techniques, risk analysis, and performance attribution
- Experience with eVestment, Fact Set, or similar investment research and analytics tools
- Strong interest in data and AI technologies within investment processes
- Progress towards or completion of CFA, CAIA, FIA, FSAI, or equivalent (standout qualification)
- Experience working with institutional investors
Demonstrates expertise in managing discretionary fixed income portfolios, with strong analytical skills for portfolio performance analysis and risk metrics. Proficient in investment strategy development and familiar with AI technologies in investment processes.
Highest-signal resume keywords- Fixed Income Portfolio Management
- Investment Strategy Development
- Portfolio Performance Analysis
- CFA, CAIA, FIA, FSAI Progress
- Investment Data Analysis
- Analytical Skills
- Quantitative Skills
- Portfolio Construction Techniques
- Risk Analysis
- Performance Attribution
- Investment Research
- Multi-Manager Funds
- Investment Manager Selection
- Investment Performance Reporting
- Data Analysis
- Attention to Detail
- Organizational Skills
- Problem-Solving Skills
- Collaboration
- Effective Communication
- CFA
- CAIA
- FIA
- FSAI
- Investment Management
- Asset Management
- Investment Consulting
- Financial Services
- Institutional Investors
- Microsoft Excel
- eVestment
- Fact Set
- AI-Enabled Tools
- Investment Analytical Tools
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