LONDON, LONDON, United Kingdom
14 hours ago
Asset Management, Systematic Fixed Income Portfolio Manager, Executive Director

Join a dynamic team focused on systematizing JPMorgan's fundamental and quantitative insights and processes to deliver innovative, cost-effective, rule-based solutions for institutional clients. This team is instrumental in the rollout of our active ETF business, a key strategic initiative for Asset Management. It's an exceptional opportunity for investors with a quantitative background who are entrepreneurial and eager to drive business growth.

Job Summary

As a Systematic Portfolio Manager, you will participate in managing our existing passive and active systematic separate accounts and ETFs, while playing a crucial role in developing new strategies and supporting the rollout of our active ETF platform. Your responsibilities will include driving the integration of portfolio optimization tools into the investment process, ensuring their seamless incorporation into the broader GFICC business.

Job Responsibilities

Manage passive and active Systematic Fixed Income strategies, with a focus on portfolio management, continuous monitoring, and the development of new strategies. Collaborate with the Quantitative Research team to refine portfolio construction techniques and enhance existing systematic fixed income strategies. Integrate and improve the portfolio optimization framework, working with the dedicated tech team for further advancements. Monitor client portfolios to ensure they align with investment strategies and client guidelines. Work with the platform's sector specialists to integrate their expertise into systematic portfolios. Engage with clients on bespoke research for systematic investment solutions, communicate performance, and pursue new business opportunities. Work with asset management teams, including distribution and product development, to articulate key investment capabilities and design tailored solutions.

Required qualifications, capabilities and skills 

Extensive experience in Fixed Income portfolio management  Bachelor's degree in Statistics, Economics, Finance, or a related scientific discipline. Strong knowledge of public fixed income markets, including credit, interest rates, or structured finance. Proven ability to work effectively in a team-oriented setting and manage multiple tasks simultaneously. Strong technical, analytical, and complex problem-solving skills, with attention to detail in a fast-paced environment. Demonstrates drive, determination, and a results-oriented work ethic, thriving in a team-based, collaborative environment with excellent communication and relationship skills. Strong data and analytical skills, with proficiency in Excel and Python.

Preferred qualifications, capabilities and skills

Experience with portfolio optimization and managing ETFs CFA designation is a plus. Experience executing portfolio trades and derivatives expertise.
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