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High Yield Credit Portfolio Manager

Date: Jan 17, 2019

Location: Dublin, IE

Company: Intesa Sanpaolo Group

Fideuram is among the key private banking players in Italy. Deeply rooted at local level, it ranks first among the financial advisory networks in Italy, fourth in terms of Private Banking and sixth among traditional banks.
It is looking for qualified profiles who want to be involved in a stimulating and challenging career opportunities with the following requirements:

Scope and Purpose

The candidate will be responsible for providing investment opinions and trade ideas to a number of portfolios. The focus of the role will be analysing dynamic credit situations and developing investments theses. The successful candidate is a specialist in HY Credit with proven expertise and track-record, either as an analyst or portfolio manager.

Required Experience

 5+ years of relevant and similar experience working as a high yield research analyst/PM
* Experience in portfolio construction a plus
* Outstanding ability to communicate and interact with people, within and outside the team Cooperative and self-motivated individual
* Ability to work under pressure and deal with complex business problems in a timely, orderly and
insightful manner

Competencies Required

- Playing an essential role in the management of the credit space in partnership with other members of the Credit team and under the supervision of the head of the team
- Key and proactive contribution to fundamental analysis, the investment process and idea
generation in the Credit Team
- Diligent supervision of the investment implementation, risk control and performance measurement
- Interaction with internal supporting departments, as well as with external counterparties
- Development and maintenance of a robust analytical framework across the HY Credit universe

Required Qualifications, Skills and Knowledge

- Bachelor degree is required in Finance, Economics, Statistics, or Mathematics with superior
academic record
- a strong understanding of financial accounting and economic theory in order to interpret and model financial statements as well as good judgment and reasoning in order to assess and differentiate the strengths, weaknesses and value drivers of the companies in his/her coverage universe
- Highly skilled in Excel and Bloomberg
- Strong financial modelling, analytical and communication skills are required
- Fluency in English is required (Italian would be a plus)
- Professional qualifications are desirable


Everyone is an asset for our Group and that person could be you! Check out our job opportunities, apply and join our team!

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