Fixed Income Portfolio Manager

Northern Trust
Chicago, IL, United States
7 days ago
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Role details

Contract type
Permanent contract
Employment type
Full-time (> 32 hours)
Working hours
Regular working hours

Tech stack

Microsoft Excel Artificial Intelligence Python (Programming Language) Machine Learning RAROC

Job description

Experteer Overview As part of NTAM’s Global Fixed Income team, you will lead and shape multi-sector investment strategies with a focus on corporate credit. You will work closely with global colleagues to translate research into portfolio decisions that aim for strong risk-adjusted returns. The role combines hands-on portfolio management with developing new strategies and investment workflows, in a mission-driven culture that values integrity, service, and expertise. You will engage sophisticated clients and contribute to a disciplined investment philosophy that informs client objectives and performance. Compensation / Benefits * Serve as portfolio manager and thought leader for multi-sector strategies within NTAM’s taxable fixed income team * Contribute investment ideas and assist in portfolio construction with focus on corporate credit valuation * Monitor market conditions, propose investments, and maintain alignment of risk exposures across portfolios * Analyze portfolio performance vs benchmarks, including risk-adjusted returns and tracking error * Develop and evaluate new portfolio strategies and systematic decision workflows * Collaborate with global fixed income staff and engage with sophisticated clients for new business * Establish and maintain professional contacts within the fixed income industry to enhance market knowledge Tasks * At least 5 years of active fixed income portfolio management experience * Corporate credit-specific fundamental knowledge * Strong quantitative and financial analysis skills * Ability to communicate portfolio features and investment philosophy clearly * Proficiency in Excel and Bloomberg; familiarity with machine learning and AI tools; ability to code in Python or develop analytics using AI methods Key requirements * retirement benefits (401k and pension) * health and welfare benefits * paid time off * parenteral and caregiver leave * life & accident insurance * discretionary bonus program

Requirements

_ vs benchmarks, including risk-adjusted returns and tracking error * Develop and evaluate new portfolio strategies and systematic decision workflows * Collaborate with global fixed income staff and engage with sophisticated clients for new business * Establish and maintain professional contacts within the fixed income industry to enhance market knowledge Tasks * At least 5 years of active fixed income portfolio management experience * Corporate credit-specific fundamental knowledge * Strong quantitative and financial analysis skills * Ability to communicate portfolio features and investment philosophy clearly * Proficiency in Excel and Bloomberg; familiarity with machine learning and AI tools; ability to code in Python or develop analytics using AI methods Key requirements * retirement benefits (401k and pension) * health and welfare benefits * paid time off * parenteral and caregiver leave * life & accident insurance * discretionary bonus program

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