07 Sep
|
Bank of Montreal
|
Ontario
07 Sep
Bank of Montreal
Ontario
Elevate your career at BMO Capital Markets as a Portfolio Manager, focusing on trading strategies in the non-agency securitized products space. Bring your expertise in fixed income and strategic investment planning to maximize potential.
As a Portfolio Manager reporting to the Head of Tactical & Accrual Trading, you will play a pivotal role in executing effective trading strategies. With a focus on non-agency RMBS and credit risk management, your decisions will shape the Global Markets Investment and Liquidity Portfolio’s. You’ll collaborate with various teams, ensuring macro and idiosyncratic risks align globally while maintaining your own risk mandate.
Key Responsibilities:
• Develop and implement portfolio strategies across fixed income
• Execute trading strategies in non-agency securitized products
• Maximize profit while minimizing liquidity exposure
• Cultivate trading ideas and relative value opportunities
• Engage with internal and external clients for collaboration
Requirements:
• Minimum 5 years in managing fixed income trading
• Expertise in non-agency securitized products
• Knowledge of credit and interest rate derivatives
• Bachelor’s degree in finance or related field
• Ability to pass regulatory exams and licenses
Leverage your trading expertise to steer the investment strategy for BMO, driving impactful results.
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📌 BMO Capital Markets Portfolio Manager Role (Ontario)
🏢 Bank of Montreal
📍 Ontario