Shape trading decisions in Non-Agency Securitized Products at BMO Capital Markets as a Portfolio Manager. Focus on tactical risk management and portfolio optimization in diverse fixed income markets. In this market-focused role, you will report to the Head of Tactical & Accrual Trading. You will execute effective trading strategies and ensure alignment with the investment plan from Global Markets leadership, leveraging your proven track record in proprietary trading. Key Responsibilities:
Develop and implement portfolio strategies
Execute trades in Non-Agency RMBS and CLOs
Manage liquidity risk while optimizing returns
Collaborate with Investment PMs for cohesive risk strategies
Analyze market trends for tactical execution Requirements:
At least 5 years in trading risk management
Background in Non-Agency securitized products
Bachelor's degree or equivalent experience
Familiarity with credit derivatives is advantageous
Solid analytical and communication skills Elevate portfolio management with precision and expertise at BMO Capital Markets.
📌 Portfolio Manager Fixed Income Trading Toronto (Canada)
🏢 BMO
📍 Canada
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