Senior Portfolio Manager | Sterling Credit | SAM UK | London
Core
Lead investment management of a £1bn Sterling bond mandate, combining portfolio construction, credit analysis, and macroeconomic assessment to deliver performance for retail and institutional clients.
Role type
Senior IC fixed income portfolio manager
Builds
A £1bn Sterling bond fund and broader UK fixed income franchise
Domain
Fixed income / Sterling bonds / Credit analysis
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Sterling fixed income portfolio management, portfolio construction, credit analysis, macroeconomic assessment, risk management, client relationship management, business development, product launch support, regulatory compliance
Preferred skills
CFA or CAIA certification, master's degree in Economics/Mathematics/Engineering, experience with insurance mandates
Technologies
N/A
Responsibilities
Lead portfolio performance and risk management for the Sterling Bond Fund; Develop and implement investment strategies via credit and macro analysis; Collaborate with global fixed income teams; Represent the strategy to retail, institutional, and insurance clients; Drive business growth through new product launches and client engagement; Ensure adherence to regulatory and governance standards.
Seniority
Senior, hands-on IC with business-building responsibilities