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Fixed Income Investment Manager; Asset Management

Job in California, Moniteau County, Missouri, 65018, USA
Listing for: Consortium for Clinical Research and Innovation Singapore
Full Time position
Listed on 2026-03-06
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Portfolio Manager
Salary/Wage Range or Industry Benchmark: 80000 - 120000 USD Yearly USD 80000.00 120000.00 YEAR
Job Description & How to Apply Below
Position: Fixed Income Investment Manager (Asset Management)
Location: California

Main Responsibilities Portfolio Management & Execution

  • Independently manage and monitor fixed income portfolios under supervision
  • Execute trades across government bonds, investment grade/high yield credit and related instruments
  • Conduct portfolio rebalancing, duration positioning and yield curve strategy implementation
  • Monitor portfolio performance and risk metrics (duration, DV01, spread exposure, convexity)
Macro & Rates Analysis
  • Analyze global macroeconomic trends, central bank policies and liquidity conditions
  • Form views on interest rate trajectory and yield curve dynamics
  • Assess impact of monetary and fiscal policies on fixed income markets
Credit Research
  • Conduct fundamental credit analysis on issuers across sectors
  • Evaluate balance sheet strength, cash flow sustainability and covenant structures
  • Monitor rating changes, spread movements and credit events
FX & Cross-Asset Awareness
  • Understand FX dynamics and their impact on bonds returns
  • Analyze cross-asset correlations (equities, commodities, USD, real rates)
  • Incorporate FX hedging considerations in portfolio management
Risk Management & Reporting
  • Monitor portfolio risk exposures and stress scenarios
  • Prepare investment committee materials and performance reports
  • Conduct scenario analysis and drawdown analysis
Market Intelligence
  • Stay updated with market developments, policy announcements and liquidity shifts
  • Maintain relationships with brokers and counter parties
Requirements
  • Bachelor’s degree in Finance, Economics, Mathematics, Engineering, or related disciplines; CFA or FRM a plus
  • 3–5 years of fixed income investment or research experience, including independent bond portfolio management
  • Hands‑on experience in rates, credit, and multi-currency bond markets; familiarity with structured products or derivatives
  • Strong understanding of macroeconomics, monetary policy, credit analysis, FX markets, and disciplined risk management
  • Proficient in Bloomberg (YAS, SRCH, RV, CRPR, WEI, ECFC), Excel, financial modelling, and portfolio risk/performance systems
  • Analytical, quantitative, and independent thinker with high integrity and professional ethics
  • Team-oriented with strong communication skills;
  • Proficiency in English and Mandarin as incumbent needs to liaise with colleagues from Head Office. Cantonese a plus
  • Experience liaising with institutional clients; exposure to Asia Credit markets
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