Tag: Manager

  • High Grade Credit Trader and Assistant Portfolio Manager

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    Business

    GE Corporate
    Business Segmen
    Corporate Finance & Operating Components

    About Us

    With ~$120B of assets under management GE Asset Management, Inc., a leading asset manager based in Stamford, Connecticut, invests on behalf of the GE Pension Trust as well as third parties. The GEAM team invests globally with a long term view, across all asset classes; US Equities, International Equities, Fixed Income and Alternatives.

    GE Asset Management, Inc. is an affirmative action/ equal opportunity employer.

    For more information please go to: www.geam.com.

    GE offers a competitive salary, outstanding benefits package and the professional advantages of an environment that supports your development and recognizes your achievements.

    We would like to thank everyone who submits their resume for this opportunity. Due to the volume of resumes we receive, only those candidates selected for interviews will be contacted.

    Role Summary/Purpose

    GE Assest Management (GEAM) is seeking a Trader and Assistant Portfolio Manager to assist the Fixed Income High Grade Credit department.

    Essential Responsibilities

    # The position is part of a three person team responsible for trading investment grade corporate bonds and Build America Bonds (BABs) for both Insurance and Total Return Clients.
    # Execute trades across all High Grade Credit product types including credit derivatives.
    # Assist Senior Portfolio Managers in managing High Grade Portfolio’s for Total return Clients.
    # Generate relative value ideas to generate positive outperformance versus benchmarks across various client strategies.
    # Improve and support infrastructure and trade efficiency by working with the GEAM technology team.
    # Provide market color to internal constituents including, High Grade Credit PM’s, Other Spread Sector PM’s, and High Grade Research.

    Qualifications/Requirements

    # Bachelor’s degree (accounting, business, finance, economics or related area) plus a minimum of 2yr experience trading High Grade Credit or Corporate Equities.* General Finance industry experience with specific knowledge of fixed income markets.* Basic understanding of Institutional Fixed Income Trading and valuations.* Proficiency in software programs such as Microsoft Office applications and Bloomberg.* Strong quantitative, analytical and communication skills.* Willing to comply with pre-employment screening, including drug testing, reference verification, and background check. * You must have unrestricted authorization to work in the United States. * Internal GE candidates must have the approval of their manager to post for the role.* All applications for employment must be submitted through either www.gecareers.com or the Career Opportunity System (COS) to be considered.

    Additional Eligibility Qualifications

    GE will only employ those who are legally authorized to work. Any offer of employment is conditioned upon the successful completion of a background investigation and drug screen.

    Desired Characteristics

    # Ability to work in a team environment to achieve outstanding portfolio management results.* Demonstrate the highest level of personal and professional integrity.* Ability to multi-task and remain calm under stressful situations.* MBA, CFA or other relevant accreditation.* Knowledge of trading systems Latent Zero and Bloomberg and Portfolio Risk systems * * * Barclays Point or Yieldbook is a plus.

    GE is an equal opportunity employer, offering a great work environment, challenging career opportunities, professional training and competitive compensation.

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  • Senior Relationship Manager, Highly Competitive Salary – Lugano, Switzerland

    My client is a Swiss Private Bank based out of Lugano. They are currently looking to add an experienced relationship manager to their Swiss/Italian client desk In this position you will be responsible for:
    * Building a portfolio of HNW relationships
    * Managing client relationships with clients with investable assets of $5mio+
    * Advising clients on full range of products and …

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  • Senior Low Latency C++ Developer/ Project Manager, $150,000 plus unbeatable bonus and benefits – New York City, USA

    The client currently seeks a talented, senior C++ Developer to work on the development of a new, Greenfield, Client and Exchange Connectivity platform at their prestigious New York office. The C++ Developer would play the crucial role of developing state-of-the art, ultra low-latency Exchange Connectivity software to stay ahead of competitors. You will join an immensely successful team …

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  • Senior Prime brokerage Risk manager commodities, $150,000-$180,000 + market leading guaranteed bonu – New York City, United States

    The Role
    – Tracking the risk profile of the prime services business highlighting issues or concern.
    – Be a direct contact for the front office trading floor for all prime brokerage risk.
    – Use various risk measures, including stress testing and correlation analysis.
    – Work directly with the trading floor, senior management and other support areas, credit risk controllers, operations and …

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  • Internal Audit Manager, £70,000 – £80,000 + bonus – London, United Kingdom

    Extractive Search has been retained by a growing mining company to find an Internal Audit Manager for their London based Head Office team. As a newly created role, the initial phase of the opportunity will require the successful candidate to establish a risk and control framework, rolling it out across the business. From there, re-evaluation and testing will become the primary focus. The …

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  • Market risk manager | Commodities, 140,000 – 150,000 CHF + benefits + bonus – Geneva, Switzerland

    A top tier European trading house is looking to hire an experienced Market Risk manager to work directly with the front office management team to develop cutting edge analysis of performance and risk-return. Based on the Commodities desk you will play a key role in pre-trade approvals, new product development, and working closely with both the desk and senior management to manage risk …

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  • Trading desk risk manager | commodities, SGD $150,000 – $180,000 – Singapore, Southeast Asia

    A top global investment bank is looking to expand its risk platform in Singapore and requires senior risk profiles to help this growth. They are expanding their portfolio across all regions due to the strong performance of their P&L from trading. One of the key teams ensuring strong performance is the risk team and thus is keen to continue recruiting strong professionals fill the open …

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  • Market risk manager | Director |, $170,000 – $200,000 + guaranteed bonus & addition – New York City, USA

    Tier 1 global investment bank in New York is looking to expand its market risk team with a director level position covering all commodity products.

    *Market risk manager | Director | Reporting to the head of Market risk globally.
    *Base Salary – $170,000 – $200,000 + guaranteed bonus & additional benefits
    *Reporting directly into the head of Market Risk A leading tier 1 investment bank …

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  • Fixed Income Portfolio manager, Highly Competitive Salary – London, UK

    A leading asset management firm based in London is currently looking for a fixed income portfolio manager to join their team.

    The team are looking for an experienced individual however please not that this is not a head position.

    Within this role you will be responsible for:
    * Managing the Euro and USD Fixed income using a Macro-economic framework to build an overlay of …

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  • Senior Market Risk Manager | VP – Director, £135k-£150k + Bonus & Benefits – London, UK

    Tier 1 investment bank is looking to hire a senior trading floor based Equity Derivatives Market Risk Manager in London

    The market risk team is looking to hire a Senior Market Risk Manager, to be based on the trading floor, looking at equity fund derivatives – both vanilla and exotic. This role is a technical / quantitative market risk management opportunity. The risk manager will have …

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