Securitized Portfolio Manager, VP II - Investment Management
Listed on 2026-05-26
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Finance & Banking
Portfolio Manager, Risk Manager/Analyst
Why this role is important to us
We are seeking a highly skilled and motivated Securitized Portfolio Manager to join our Global Fixed Income platform in Boston. This individual will play a key role in managing securitized credit portfolios across RMBS, CMBS, ABS, and CLOs, contributing directly to investment performance, portfolio construction, and client outcomes. This role requires a strong integration of portfolio management and credit research capabilities, combining top-down macro views with deep fundamental analysis of collateral, structures, and issuers.
Whatyou will be responsible for Portfolio Management & Investment Decision-Making
- Manage securitized credit portfolios across agency and non-agency RMBS, CMBS, ABS, and CLOs
- Construct portfolios consistent with client objectives, risk budgets, and regulatory constraints
- Implement investment strategies across yield, spread, and structure opportunities
- Execute trades and manage positioning across primary and secondary markets
- Conduct fundamental credit analysis of underlying collateral pools, issuers, and deal structures
- Evaluate loan-level and pool-level performance dynamics, including default and loss expectations, prepayment and extension behavior, collateral quality, vintage, and underwriting characteristics
- Analyze structural protections, triggers, and tranche behavior under baseline and stressed scenarios
- Develop and maintain relative value assessments across sectors, shelves, vintages, and structures
- Generate actionable investment ideas informed by both bottom-up credit work and market technicals
- Generate relative value views across securitized sectors, structures, and capital stack positions
- Analyze collateral performance, prepayment dynamics, credit trends, and macroeconomic drivers
- Integrate top-down macro views with bottom-up security selection
- Monitor and manage key risks including spread duration and interest rate exposure, prepayment and extension risk, credit and structural risk (including tranche behavior), ensuring portfolios remain aligned with established risk frameworks and guidelines
- Partner closely with securitized research analysts, multi-sector PMs and asset allocation teams, quantitative research, trading and risk groups
- Contribute to the ongoing development of research frameworks, models, and portfolio construction tools
- Help drive integration of research insights into scalable portfolio decisions
- Investment excellence and intellectual curiosity
- Integrated portfolio management and research mindset
- Collaboration and team orientation
- Risk discipline and accountability
- Growth mindset and platform development
Preferred Qualifications
- A Master’s degree in finance, economics, mathematics, or other relevant field of study and/or a CFA are preferred.
- 10 plus years of experience in fixed income portfolio management, with a focus on securitized products
- Deep expertise across RMBS, CMBS, ABS and/or CLO markets
- Credit Research background preferred
$120,000 - $202,500 Annual
Employees are eligible to participate in State Street’s comprehensive benefits program, which includes: retirement savings plan (401K) with company match; insurance coverage including basic life, medical, dental, vision, long-term disability, and other optional additional coverages; paid‑time off including vacation, sick leave, short term disability and family care responsibilities; access to our Employee Assistance Program; incentive compensation including eligibility for annual performance‑based awards (excluding certain sales roles subject to sales incentive plans);
and eligibility for certain tax‑advantaged savings plans.
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