As a Fixed Income Portfolio Manager at Central 1, focus on managing substantial investments while ensuring compliance and achieving robust financial returns. Collaborate on strategies to enhance performance and liquidity management.
Candidates should possess a CFA and a degree in Finance, with a minimum of 5 years in financial management, especially in fixed income markets. You will manage risks and returns effectively, prepare insightful reports for stakeholders, and support Central 1's initiatives to integrate ESG principles within investment practices.
Key Responsibilities:
• Manage investment portfolio for optimal returns
• Analyze and report on financial performance metrics
• Ensure compliance with policy and regulatory requirements
• Develop and refine strategies based on market analysis
• Serve as a resource for credit union inquiries and support
Requirements:
• Master's or Bachelor's in Finance, CFA certified
• 5+ years in financial management and investment
• Proficient in data analysis and trading techniques
• Strong communication and relationship-building skills
• Advanced knowledge of Bloomberg and CanDeal tools
Utilize your financial expertise to enhance Central 1’s investment strategy and performance.
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📌 Central 1 Fixed Income Portfolio Manager (Ontario)
🏢 Jobtailor
📍 Ontario
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