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Fixed Income- Dealer and Fund Manager

Job in 400001, Mumbai, Maharashtra, India
Listing for: MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED
Full Time position
Listed on 2026-09-13
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Portfolio & Asset Management, Financial Analyst, Capital Markets
Job Description & How to Apply Below
The role will combine  Fund Management, Fixed Income Dealing, Market Analysis and Portfolio Strategy , with a focus on delivering optimal risk-adjusted returns while maintaining liquidity and regulatory compliance.

Key Responsibilities
Manage and execute investments across  Government Securities, Treasury Bills, Corporate Bonds, Commercial Papers, Certificates of Deposit and other Money Market instruments .
Assist in managing  Debt, Liquid, Money Market, Short Duration and SIF portfolios .
Develop and implement portfolio strategies based on  interest-rate outlook, yield curve movements, liquidity, credit spreads and market conditions .
Monitor macroeconomic developments, RBI policy, market liquidity and regulatory changes impacting fixed-income portfolios.
Execute transactions in both  primary and secondary debt markets , ensuring efficient pricing, sourcing and execution.
Provide inputs on  duration, yield curve positioning, credit exposure and portfolio construction .
Continuously monitor market sentiment, trading volumes, price movements and liquidity conditions.
Evaluate investment opportunities from a  risk-return, credit quality, valuation and liquidity  perspective.
Ensure adherence to  SEBI, AMFI and internal investment guidelines, limits and risk parameters .
Prepare portfolio analytics, market updates and investment views for internal discussions and investment committees.
Coordinate with brokers, issuers, counter parties, research, risk, compliance and operations teams.
Support the Fund Manager in portfolio monitoring, investment decisions and implementation of debt-market strategies.

Candidate Profile
Strong understanding of the  Fixed Income & Debt Markets .
Hands-on experience in  Money Market, Liquid Funds, Short Duration Funds or Debt Mutual Funds .
Experience in  dealing as well as portfolio management  will be a strong advantage.
Exposure to  SIF debt investments / strategies  will be preferred.
Strong analytical, negotiation, market intelligence and decision-making capabilities.

#Fixed Income #Debt Markets #Money Markets #Fund Management #Debt Dealing #Portfolio Management #Yield Curve #Interest Rates #Credit Markets #Liquidity Management #Government Securities #Corporate Bonds #SEBI #SIF #Fixed Income Dealer
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