Description:
About Job:
We are seeking a highly experienced Debt Fund Manager to lead the fixed-income investment portfolio of our insurance business at ACKO.
The successful candidate will be responsible for managing debt investments across government securities, corporate bonds, money market instruments, and other fixed-income products to ensure optimal returns while maintaining compliance with IRDAI regulations and the companys risk framework.
This is an exciting opportunity for a seasoned professional to play a key role in shaping the investment strategy of our insurance business and contributing to the company's growth and success.
Skills & Qualification:
- Proven track record of managing debt investments, with a strong understanding of fixed-income markets and instruments, including government securities, corporate bonds, and money market instruments.
- Excellent knowledge of IRDAI regulations and compliance requirements for insurance companies.
- Strong analytical and problem-solving skills, with the ability to analyze complex data sets and make informed investment decisions.
- Effective communication and interpersonal skills, with the ability to work collaboratively with cross-functional teams, including investment, risk, and compliance teams.
- Strong leadership skills, with the ability to motivate and inspire a team of investment professionals.
- Ability to manage multiple projects and priorities, with a strong attention to detail and ability to meet deadlines.
- Strong understanding of risk management principles and practices, with the ability to identify and mitigate potential risks associated with debt investments.
- Ability to stay up-to-date with market trends and developments, with a strong network of contacts and relationships within the investment community.
Responsibilities:
- Manage debt investments across government securities, corporate bonds, money market instruments, and other fixed-income products to ensure optimal returns while maintaining compliance with IRDAI regulations and the companys risk framework.
- Develop and implement an investment strategy that aligns with the company's overall business objectives and risk tolerance.
- Lead a team of investment professionals to analyze complex data sets, identify investment opportunities, and make informed investment decisions.
- Collaborate with cross-functional teams, including investment, risk, and compliance teams, to ensure alignment and coordination of investment activities.
- Develop and maintain relationships with key stakeholders, including investors, regulators, and industry partners.
- Stay up-to-date with market trends and developments, and identify opportunities to enhance the investment portfolio and drive growth and returns.
- Develop and implement policies and procedures to ensure compliance with IRDAI regulations and the companys risk framework.
- Monitor and report on investment performance, including risk metrics and returns, to ensure alignment with the company's overall business objectives.
- Provide thought leadership and expertise on investment markets and trends to the company's leadership and stakeholders.
Didn’t find the job appropriate? Report this Job