Multi-Asset Fixed Income Portfolio Manager

Bank of the Philippine Islands (BPI)

Manila

On-site

PHP 1,800,000 - 3,200,000

Full time

10 hours ago
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Job summary

Bank of the Philippine Islands (BPI) seeks a Fixed Income Portfolio Manager to craft and execute multi-asset strategies for institutional and UITF portfolios. You will integrate market knowledge to propose tailored solutions and monitor performance, risk, and liquidity, ensuring compliance with internal guidelines.

The role requires 3–5 years in portfolio management or related fields, and familiarity with global fixed income and equity markets. Treasury or Trust certifications are a plus.

Qualifications

  • Bachelor’s or Master’s degree in Finance, Economics or related fields preferred.
  • 3–5 years in portfolio management, fixed income, equities or trust/treasury functions.
  • Knowledgeable in local/global fixed income and equity instruments.
  • Updated on economic events and their market impact.
  • Familiar with regulations and roles of regulators.
  • Treasury/Trust certifications desirable.

Responsibilities

  • Develops multi-asset portfolio strategies for UITFs and segregated portfolios.
  • Proposes tailored portfolio solutions to client needs.
  • Monitors markets and calibrates investment timing.
  • Monitors portfolio returns, risk and liquidity.
  • Ensures transactions follow Unibank policies and UITF guidelines.
  • Prepares and presents investment and market reports to management.

Education

Bachelor’s/Master’s in Finance/Economics or related fields
Treasury Certification Program or Trust-related certification

Job description

Bank of the Philippine Islands (BPI) seeks a Fixed Income Portfolio Manager to craft and execute multi-asset strategies for institutional and UITF portfolios. You will integrate market knowledge to propose tailored solutions and monitor performance, risk, and liquidity, ensuring compliance with internal guidelines.

The role requires 3–5 years in portfolio management or related fields, and familiarity with global fixed income and equity markets. Treasury or Trust certifications are a plus.

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