Emerging Markets Fixed Income Analyst & Associate PM

Intesa Sanpaolo Group

Dublin

On-site

EUR 65,000 - 95,000

Full time

18 hours ago
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Job summary

Fideuram Asset Management Ireland (FAMI), part of the Intesa Sanpaolo Group, is seeking a Junior Emerging Markets Fixed Income Analyst / Associate Portfolio Manager to join our Dublin-based Investment Team. You will work closely with senior professionals in a dynamic, international environment to grow our fixed income capabilities.

The role combines hands-on portfolio analysis, macroeconomic research, and investment decision support, with an emphasis on ESG integration and robust analytical

Qualifications

  • 2–5 years of experience in asset management or related fields.
  • Master’s degree in finance or economics; CFA designation (or progress) desirable.
  • Excel skills are required; Bloomberg experience is a plus.
  • Fluency in English; Italian knowledge is advantageous.

Responsibilities

  • Support the management of EM fixed income portfolios under supervision of senior PMs.
  • Conduct macroeconomic and credit analysis on sovereign issuers and contribute to weekly research reviews.
  • Monitor macro data, central bank policies and geopolitical developments.
  • Participate in internal debates on global markets and assist in trade ideas and investment decisions.
  • Develop and maintain analytical models and tools for portfolio construction and risk management.
  • Prepare investment notes and presentations for internal stakeholders.

Skills

Analytical mindset
Disciplined analyst
ESG knowledge
English fluency

Education

Master’s in finance or economics
CFA progress desirable

Tools

Excel
Bloomberg
Financial programming

Job description

Fideuram Asset Management Ireland (FAMI), part of the Intesa Sanpaolo Group, is seeking a Junior Emerging Markets Fixed Income Analyst / Associate Portfolio Manager to join our Dublin-based Investment Team. You will work closely with senior professionals in a dynamic, international environment to grow our fixed income capabilities.

The role combines hands-on portfolio analysis, macroeconomic research, and investment decision support, with an emphasis on ESG integration and robust analytical

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