Fixed Income Portfolio Manager

4 weeks ago


Toronto, Canada North Horizon Holdings Inc. Full time

About the Company


North Horizon is a Canadian institutional investor with a global investment reach. We are value-oriented investors in public equities, fixed incomes, private equities, venture capitals and real estate.


We are looking for exceptional talent to join our Asset Allocation team. This position is an exciting opportunity to join a fast-growing team, make an impact, and demonstrate your value in managing fixed income portfolios.


About the role:


  • Strategically manage fixed income portfolios to optimize risk-adjusted returns within established guidelines.
  • Conduct in-depth analysis of macroeconomic trends, interest rates, credit markets, and other relevant factors to inform investment decisions.
  • Develop and implement investment strategies based on market research, quantitative analysis, and risk management principles.
  • Construct and rebalance fixed income portfolios, ensuring alignment with investment objectives, risk tolerance, and asset allocation requirement.
  • Monitor and evaluate portfolio performance, identifying opportunities for improvement and adjusting strategies as necessary.
  • Stay abreast of market developments, regulatory changes, and economic indicators to make informed investment decisions.
  • Collaborate with other investment professionals, traders, and research analysts to share insights and contribute to overall investment strategy.
  • Effectively communicate portfolio strategies, performance, and market outlook to internal stakeholders.
  • Ensure compliance with industry regulations, company policies, and ethical standards.
  • Continuously enhance expertise through professional development and staying informed about industry best practices.
  • Participate in other endeavors of Asset Allocation team.
  • Keep current on political and economic trends and events which could impact investment decisions.


About you:


Must-Have


  • Master’s degree in finance, economics, or a related field.
  • Over 6 years of experience as a fixed income investment associate or portfolio manager or relevant role in reputable investment management firms. Preferably from a buy-side institution setting.
  • Strong analytical and quantitative skills with proficiency in financial modeling and statistical analysis.
  • In-depth knowledge of fixed income markets, interest rate dynamics, and credit analysis.
  • Excellent communication and interpersonal skills for effective collaboration with team members.
  • Ability to make sound decisions under pressure and adapt to changing market conditions.
  • Demonstrated understanding of risk management and compliance practices in investment management.
  • Proficiency in relevant financial software and tools.
  • Commitment to ongoing professional development and staying current with industry trends.
  • CFA or equivalent designations (or working towards it) is considered asset


Nice To Have (but not Necessary)


  • Bilingual in both English and Chinese


About our benefits:


  • Competitive salary and employee benefits
  • Reimbursement of your professional development/training
  • On-site free gym membership
  • Mentorship with some of the smartest and most experienced professionals in the industry
  • Strong entrepreneurial environment that encourages creativity
  • Be provided opportunities to learn continuously and develop professionally
  • Work with dynamic high performing team who thrive on the challenge to reach their fullest
  • Be a part of an inclusive culture where your ideas and advice are heard and valued.



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