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Fixed Income Portfolio Manager
NYLIFE Securities, Inc.
New York, NY, United States
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A career at New York Life offers many opportunities. To be part of a growing and successful business. To reach your full potential, whatever your specialty. Above all, to make a difference in the world by helping people achieve financial security. It’s a career journey you can be proud of, and you’ll find plenty of support along the way. Our development programs range from skill-building to management training, and we value our diverse and inclusive workplace where all voices can be heard. Recognized as one of Fortune’s World’s Most Admired Companies, New York Life is committed to improving local communities through a culture of employee giving and service, supported by our Foundation. It all adds up to a rewarding career at a company where doing right by our customers is part of who we are, as a mutual company without outside shareholders. We invite you to bring your talents to New York Life, so we can continue to help families and businesses “Be Good At Life.” To learn more, please visit LinkedIn, our Newsroom and the Careers page of www.NewYorkLife.com.
NYL Investors is seeking a highly qualified investment professional to join our Investment Grade Portfolio Management team within our Fixed Income Investors Group. The ideal candidate would work alongside two senior portfolio managers and assist in all facets of portfolio and risk management. This position is based in our midtown Manhattan home office.
Fixed Income Investors (FII) is a multi-product fixed income asset management division of NYL Investors LLC. FII focuses on U.S. dollar-denominated debt in the following asset classes: investment grade credit securities, high yield bonds, senior secured floating rate loans, mortgage-backed, asset-backed and other structured securities, treasuries, agencies, and money market instruments. FII provides a broad array of investment advisory services to affiliated insurance companies’ general and separate accounts and other affiliated corporate entities: third-party institutional clients, retail clients, investment companies and other pooled investment vehicles.
The Portfolio Manager will work closely with the team and monitor risk across all asset classes, including mortgages, ABS, and CMBS. The candidate will participate in strategy sessions to dynamically manage risk across all third-party mandates. The individual must be able to work independently and collaboratively with a group of seasoned professionals. Responsibilities will include but are not limited to:
• Identify and analyze relative value opportunities which are accretive to portfolio performance.
• Must have experience across fixed income products including Treasuries, Agencies, Mortgages, ABS, and CMBS.
• Individual will have responsibility for generating allocations across new issue and secondary opportunities across multiple portfolios. Perform ongoing analysis of issuer and sector exposure, as well as spread movements which could create additional opportunities.
• Position requires individual to perform attribution analysis across asset classes and portfolios.
• Opportunity to interact with clients through due diligence meetings and portfolio update meetings.
Qualifications
• Minimum of a Bachelor’s Degree, preferably with a concentration in Finance, Accounting, Math, Economics, Technology, or Engineering
• +/- 5 years of portfolio management experience (preferably buyside)
• Excellent written & oral communication skills
• Experience with Blackrock’s Aladdin Portfolio Management system desired
• Proficiency in Bloomberg, Microsoft Excel, PowerPoint and Word
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