High Income Senior Portfolio Manager

Intesa Sanpaolo

Varese

In loco

EUR 59.000 - 72.000

Tempo pieno

36 ore fa
Candidati tra i primi
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Vantaggi offerti da questo lavoro

Corporate Academy training programs
4x9 workweek
Banking sector benefits

Descrizione del lavoro

Intesa Sanpaolo in Lombardy, Italy seeks a High Income Senior Portfolio Manager to steer multi-strategy fixed income portfolios and translate macro and credit research into security selection with risk-aware positioning. You will collaborate with Trading, Risk, ESG and Compliance to sustain disciplined, ideas-driven investments.

The role offers growth through professional development, Corporate Academy programs, and a flexible 4-day week arrangement.

Competenze

  • 5–10 years of experience in portfolio management and fixed income roles.
  • Master’s Degree in Finance or equivalent.
  • Proficiency in MS Office and data analysis.
  • Strong knowledge of quantitative finance concepts and risk management.
  • Clear communication and team collaboration.

Mansioni

  • Portfolio management across multiple fixed income strategies and mandates.
  • Security selection informed by macro analysis and bottom-up credit research.
  • Monitor market developments, issuer fundamentals and portfolio risks.
  • Sales support and client meeting participation as needed.
  • Generate and share investment ideas and collaborate with Trading, Risk, ESG and Compliance.

Conoscenze

Portfolio management
Macro analysis
Credit research
Client support
Risk management
Data analysis
Team collaboration
Communication
Quantitative finance
MS Office

Formazione

Master’s Degree in Finance

Strumenti

Excel

Descrizione del lavoro

As a High Income Senior Portfolio Manager you will steer multi-strategy fixed income portfolios within a dynamic, collaborative investing culture. You will translate macro and credit research into security selection and risk-aware positioning, while supporting clients and contributing ideas to the investment process. You will work with Trading, Risk, ESG, and Compliance to sustain disciplined, ideas-driven investment. This role offers growth through professional development and access to a broad set of fixed income strategies.

  • Gross annual salary starting from 65,000
  • Performance-related variable component
  • Benefits under national collective labour agreement for banking sector
  • Corporate Academy training programs
  • Flexible working / 4-day week (4x9) arrangement
  • Portfolio management across multiple strategies and mandates
  • Security selection informed by macro analysis and bottom-up credit research
  • Monitor market developments, issuer fundamentals and portfolio risks
  • Sales support and client meeting participation as needed
  • Generate and share investment ideas
  • Collaborate with Trading, Risk Management, ESG, Compliance and other internal stakeholders
  • 5-10 years of experience in the role
  • MS Office
  • Statistical and analytical skills and knowledge of Quantitative finance
  • Master’s Degree in Finance or equivalent
  • Team collaboration
  • Clear communication
  • MS Office
  • Statistical and analytical skills
  • Quantitative finance
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