Fixed Income Fund Manager

MANCER Consulting Services Pvt. Ltd.

Mumbai

On-site

INR 4,000,000 - 6,000,000

Full time

5 days ago
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Job summary

MANCER Consulting Services Pvt. Ltd. in Mumbai seeks a seasoned Fixed Income Fund Manager to lead investment strategies across portfolios, research macro trends, and evaluate G-Secs and debt instruments.

From asset management backgrounds, you will guide credit allocation, monitor performance against benchmarks, ensure compliance with regulations, and present insights to senior management. This role requires strong communication and leadership in fixed income teams.

Qualifications

  • 12+ years of experience in Asset Management / Mutual Funds / Insurance / Investment Management.
  • Minimum 3 years of experience as a Fixed Income Fund Manager.
  • Strong experience in Fixed Income / Debt Portfolio Management.
  • Good understanding of G-Secs, Corporate Bonds, Money Market and Debt Instruments.
  • Experience in Credit Research / Credit Allocation.
  • Good understanding of interest rates, macroeconomics and financial markets.
  • Experience in portfolio performance analysis against benchmark and peers.
  • Strong understanding of investment regulations, risk management and compliance.
  • Good communication and presentation skills for interaction with senior management and Investment Committees.
  • Candidates from Asset Management Companies, Mutual Funds, Life Insurance companies, Investment Management firms and Fixed Income investment teams would be relevant.

Responsibilities

  • Manage and implement Fixed Income investment strategies across portfolios.
  • Conduct macroeconomic, industry and company-level research to identify investment opportunities.
  • Evaluate G-Secs, corporate bonds and other fixed-income instruments.
  • Perform credit research and credit allocation for investment decisions.
  • Monitor portfolio performance against benchmarks and peer funds and recommend changes.
  • Support the Fund Manager Fixed Income and Head of Fixed Income on investment decisions and portfolio strategy.
  • Ensure compliance with IRDAI regulations, internal investment policies and risk limits.
  • Prepare and present fund performance, market outlook and investment reports to senior management/Investment Committee.
  • Track changes in financial markets, regulations and investment practices.
  • Guide research teams and contribute to generation of new investment ideas.

Skills

Fixed Income
Debt Portfolio Management
Credit Research
Macroeconomics
Benchmark Analysis
Regulatory Compliance
Investment Strategy
Communication Skills
Presentation to IC
Research Leadership

Job description

Role & responsibilities

  • Manage and implement Fixed Income investment strategies across portfolios.
  • Conduct macroeconomic, industry and company-level research to identify investment opportunities.
  • Evaluate G-Secs, corporate bonds and other fixed-income instruments.
  • Perform credit research and credit allocation for investment decisions.
  • Monitor portfolio performance against benchmarks and peer funds and recommend changes.
  • Support the Fund Manager Fixed Income and Head of Fixed Income on investment decisions and portfolio strategy.
  • Ensure compliance with IRDAI regulations, internal investment policies and risk limits.
  • Prepare and present fund performance, market outlook and investment reports to senior management/Investment Committee.
  • Track changes in financial markets, regulations and investment practices.
  • Guide research teams and contribute to generation of new investment ideas.

Preferred candidate profile

  • 12+ years of relevant experience in Asset Management / Mutual Funds / Insurance / Investment Management.
  • Minimum 3 years of experience as a Fixed Income Fund Manager.
  • Strong experience in Fixed Income / Debt Portfolio Management.
  • Strong understanding of G-Secs, Corporate Bonds, Money Market and Debt Instruments.
  • Experience in Credit Research / Credit Allocation.
  • Good understanding of interest rates, macroeconomics and financial markets.
  • Experience in portfolio performance analysis against benchmark and peers.
  • Strong understanding of investment regulations, risk management and compliance.
  • Good communication and presentation skills for interaction with senior management and Investment Committees.
  • Candidates from Asset Management Companies, Mutual Funds, Life Insurance companies, Investment Management firms and Fixed Income investment teams would be relevant.

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