Take your investment expertise to a global scale as a Fixed Income Portfolio Manager at Aviva Investors in Toronto. Leverage your fixed income strategies and global market insights to maximize client returns and grow AUM.
Aviva Investors seeks a seasoned professional to join its Portfolio Management Team in Toronto. You will co-manage fixed income strategies focusing on delivering solid risk-adjusted returns in Canadian and global markets. Your expertise in various fixed income sectors, particularly in interest rate anticipation and global credit, will enhance our creative investment strategies.
Key Responsibilities:
• Co-manage Canadian and global fixed income strategies
• Integrate ESG considerations into investment processes
• Provide thought leadership to stakeholders
• Mentor and develop junior team members
• Collaborate with global teams on investment approaches
Requirements:
• Proven portfolio construction and risk management expertise
• Experience with global investment grade and high yield
• Advanced academic qualifications; CFA preferred
• Strong quantitative skills enhancing decision-making
• Leadership experience in forming high-performing teams
Elevate your investment career while delivering impactful strategies at Aviva Investors.
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📌 Fixed Income Portfolio Manager at Aviva (Ontario)
🏢 Socket.dev
📍 Ontario
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