ERS is seeking a Portfolio Manager to perform highly advanced portfolio management of the internal high yield fixed income credit portfolio. The successful candidate will contribute to macro strategy decision making, portfolio analysis and structuring, and industry and security selection and forming and maintaining relationships with trading counterparts.
Requirements
- Graduation from an accredited four-year college or university with a major in finance, economics, accounting, or a related field
- Ten (10) years of experience in high yield fixed income portfolio management
- Master's degree in real estate, business, finance, economics or accounting, or graduate studies in finance
- Chartered Financial Analyst (CFA) and/or Chartered Alternative Investment Analyst (CAIA) designation, or current participation in the CFA and/or CAIA program
- Experience working in an institutional investment environment
- Experience conducting fundamental securities analysis
- Experience delivering oral presentations to groups as part of regular job duties
- Experience using financial and analytical tools such as Bloomberg, FactSet, Barra, Excel, Word, or similar platforms
Benefits
- Flexible work schedules
- Competitive benefits to enhance the lives of its members