Requires a Masters in Business Administration, Finance, Economics or a directly related field, plus three years of experience as a Portfolioinvestment analyst or related position. Experience must include Working across fixed income markets as an analyst or portfolio manager; Conducting fundamental credit research covering high grade, high yield, and emerging markets; Trading fixed income government and corporate securities; Working with portfolio management systems such as Bloomberg FIT trading portal, Bloomberg AIM, and Advent APX.

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