Msim - Broad Markets Fixed Income, Portfolio Management - Vice President

Morgan Stanley

New York, US
Base: $125,000 - $250,000 py; bonus/equity: incent...
Fixed income portfolio management
Global multi-sector fixed income
Risk-adjusted returns
The role will involve working closely with fixed income portfolio managers, to ensure global multi-sector portfolios are positioned in line with the views of the investment team while generating strong risk-adjusted returns in compliance with client objectives and investment guidelines

Job Summary

  • The role will involve working closely with fixed income portfolio managers, to ensure global multi-sector portfolios are positioned in line with the views of the investment team while generating strong risk-adjusted returns in compliance with client objectives and investment guidelines.
  • The role will involve day-to-day management of global multi-sector portfolios from managing daily flows, periodic rebalancing, trade implementations, model construction for potential mandates and in-depth portfolio reviews, to generate strong risk-adjusted returns.
  • At Morgan Stanley, you’ll find an opportunity to work alongside the best and the brightest, in an environment where you are supported and empowered.

Matching Summary

The role will involve working closely with fixed income portfolio managers, to ensure global multi-sector portfolios are positioned in line with the views of the investment team while generating strong risk-adjusted returns in compliance with client objectives and investment guidelines.

Salary

Base: $125,000 - $250,000 per year; Bonus/Equity: Incentive compensation, discretionary bonuses, other short and long-term incentive packages; Benefits: Other Morgan Stanley sponsored benefit programs

Skills & Requirements

Must-have

  • Fixed Income Portfolio Management
  • Global Multi-Sector Fixed Income
  • Risk-Adjusted Returns
  • Client Objectives and Guidelines
  • Fixed Income Sector Views

Nice-to-have

  • Collaborate with research analysts and traders
  • Monitor portfolio risk consistency
  • Contribute to investment process

Key Requirements

  • Bachelor’s degree or higher
  • 4-8 years buy side fixed income experience
  • Portfolio analytics systems (Aladdin) experience
  • In-depth knowledge of fixed income sectors
  • Strong analytical, quantitative, and problem-solving skills

Work Rights

Not specified

Tailored Resume

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