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Portfolio Manager - Fixed Income

Mumbai, Maharashtra, India💼 Full-time🗓 2026-09-02 → 2026-09-26

Core

Manage fixed income portfolios for retail, institutional, and high-net-worth clients in India, focusing on money market instruments, duration, yield curve, and credit allocation.

Role type

Senior IC fixed income portfolio manager

Builds

Fixed income portfolios aligned with fund mandates and client expectations

Domain

Indian financial services, fixed income, money markets

Deliverable

production ML models | product features | dashboards & analysis | client delivery

Required skills

Fixed income portfolio management, money market instruments, macroeconomic analysis, interest rate cycles, credit allocation, risk management (duration, credit, liquidity, concentration, counterparty), regulatory compliance (SEBI, RBI, AMFI), performance attribution

Preferred skills

CFA, CA or MBA in Finance/Economics, deep knowledge of Indian debt markets (govt securities, corporate bonds)

Technologies

None explicitly stated

Responsibilities

Manage assigned fixed income portfolios within investment objectives and risk parameters; Undertake portfolio management and dealing responsibilities across money market instruments; Develop and implement portfolio strategies across duration, yield curve, credit, and liquidity; Analyze macroeconomic trends, interest rate cycles, and market technicals; Monitor and manage portfolio risks including duration, credit, and liquidity risk; Contribute to investment committee discussions and performance reviews; Stay current on SEBI, RBI, and AMFI regulatory requirements

Seniority

Senior, hands-on IC

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