Our client is a leading Insurance company hiring Fund Manager - Fixed Income
- The role involves formulating and implementing portfolio investment strategies, carrying out macroeconomic, industry and company research to create model portfolios.
- This involves assessing impact of changes in regulations both in case of existing as well as proposed products, gathering industry views on the same and proposing appropriate changes if any.
- Co-ordinating with the investment research team at our distributors and communicate our investment performance as well as strategy across all funds
- Ensuring all statutory and regulatory compliance considering the current regulatory changes in the insurance industry.
- Maintaining a healthy working relationship with the treasury at of banks to add value to our policyholders' funds.
- Monitoring performance of portfolios with a view to outperforming comparable benchmarks and peers and making suitable changes to maximize return while minimizing risk.
- Formulating and implementing portfolio investment strategies, carrying out macro and company research (credit allocation) to create model portfolios to outperform the benchmark and peers.
- Supporting launch and development of new products from fixed income perspective. Interacting with the regional HO for the same.
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