TradeTech Online: Careers
       
home about us contact us
Career Center Career Center
  Job Seekers Sign in / Register Recruiter's Sign-in
TradeTech Online: Careers
Username
Password
 
  Forget password
New User Register here
Careers Home   |   Find a job   |   Post resume   |   Search by company   |   Contact us
Fixed Income Canadian Portfolio Manager, USA-CA-San Francisco
Fixed Income Canadian Portfolio Manager
Location:   USA-CA-San Francisco  
Remuneration:   DOE  
Position Type:   Permanent  
Employment type:   Full time  
Updated:   24 Sep 2009  
eFC Ref no:   552097  
 


BGI currently seeks a Canadian Fixed Income Portfolio Manager responsible for the management Active, Indexed and ETF Canadian Dollar portfolios.

Barclays Global Investors (BGI) is America's largest money manager, providing structured investment strategies such as indexing, risk-controlled active products, and exchange traded funds to investors worldwide. For more than 35 years, BGI has been at the forefront of developing innovative investment ideas, applying science and technology to the investment process. Headquartered in San Francisco and winning first place in the SF Business Times' ''Best Places to Work in the Bay Area 2008" Awards (Giant Companies category), the Barclays PLC subsidiary employs over 3,700 people globally and manages approximately $1.5 trillion in assets.

Overview

BGI currently seeks a Canadian Fixed Income Portfolio Manager responsible for the management Active, Indexed and ETF Canadian Dollar portfolios. There may also be an opportunity to be involved in the management of other International Funds. He/she will also be involved in the development and implementation of new technology to increase the automation and efficiency of the portfolio construction and trading process.

Key Responsibilities

• Construct and maintain Canadian Dollar portfolios in most sectors of the Canadian markets.

• Ensure that portfolios are within risk tolerances and constraints. Comply with client/fund guidelines and restrictions.

• Enhance and streamline portfolio management processes.

• Actively participate in development and implementation of portfolio construction and trading tools.

• Contribute to marketing of funds and fostering of existing and prospective client relationships

• Partner with Product groups in the development and launch of new funds

• Interact with sell-side to keep current on market trends.

• Interact with research to enhance model and develop performance tools.

• Performance attribution.

Requirements

• BA/BS required. MBA or progress towards CFA a plus.

• 3+ years of portfolio management and/or trading experience, with a focus on the Canadian Dollar portfolios. Expertise in Canadian Government, Provincial and Corporate markets.

• An in-depth understanding of fixed income market. Ability to recognize subtleties of different issue types and structures and apply to portfolio management decisions.

• Ability to grasp quantitative concepts and their application to portfolio management.

• In-depth understanding of Index construction.

• Ability to adapt quickly to rapidly changing market environments.

• Good communication skills.

BGI is an Affirmative Action/Equal Employment Opportunity employer.

To apply, please click here:

https://barclays.recruitmax.com//main/careerportal/candidate_update.cfm?szOrderID=5408

Email this job
Print this job
Save this job
Website:
www.barclaysglobal.com

Email this job
Print this job
Save this job

TradeTech Online: Careers
 
 

TradeTechOnline members can read company announcements posted by other members, keeping up to date on people's movements and new appointments. Members are invited to contribute relevant announcements.

As a TradeTechOnline members you will have access to on target industry news that helps you stay on the top of the latest developments.

TradeTech Online: Careers
  Home | Conferences | About Us | Contact Us | WBR | Careers Copyright © 2006 WBR, All rights reserved.