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Assistant Portfolio Manager - Credit Investments

Job LocationLondon
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

The companyBanor Capital Limited is a UK-based independent investment management firm authorised and regulated by the Financial Conduct Authority. The firm is part of the Banor SIM universe, one of Italys leading securities firms active on the market since 1989 withAUI of over 10 bn and offices in the heart of London, Milan, Turin and in Monte Carlo. Banor Capital specializes in fundamental value-based strategies and manages sub-funds for Banor SICAV and Aristea SICAV, two Luxembourg-based UCITS V umbrella funds. Disciplinedresearch and meticulous risk management have made Banor Capitals range of products extremely competitive and enabled them to achieve significant results placing several products among the best in their respective categories. Banor Capital signed the PRI (Principlesfor Responsible Investment) and is constantly engaged in researching and implementing environmental, social and governance (ESG) practices, with the aim of helping to generate a widespread culture of investment sustainability.PositionWe are looking to hire an Assistant Portfolio ManagerCredit Investments. Based in London, the candidate will support portfolio managers analysing market opportunities and executing investment ideas in client portfolios. The candidate is expected to learnthe professional skills necessary to progress over time to a position of Investment Manager.Responsibilities

  • Work along senior portfolio managers to ensure the timely and accurate execution of investment decisions across client portfolios
  • Monitor portfolio positions, cash balances and investment guidelines
  • Learn how to identify and monitor credit investment opportunities, in order to produce investment recommendations
  • Develop and maintain monitoring tools for the credit market
  • Contribute to the implementation of ESG principles as detailed in our Responsible Investment Policy
  • Prepare financial analyses, commentaries and charts used in investment meetings and clients communication
RequirementsThe ideal candidate:
  • Has zero to three years of experience in the financial sector
  • Possesses a quantitative background (a degree in Finance/Economics/Accounting; or a scientific degree such as Maths, Statistics, Physics, Engineering; or previous experience in data analysis)
  • Is committed to a career in fixed income investment (with a focus on credit)
  • Is committed to enrol and complete the CFA program
  • Is able to build and maintain complex spreadsheets and has some basic knowledge of Python

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