Job Location : London, UK
You will manage the portfolio management team involved in fund monitoring, portfolio construction, asset allocation, and fund modelling of a credit fund portfolio with NAV of over $6Billion. In addition to the core portfolio management function you will work closely with the Investor Relations (IR) team on due diligence for prospective client requests and curate content for portfolio review materials used in client meetings. You will need to have experience of portfolio construction / asset allocation of multi-manager credit funds either public or private strategies (high yield, leveraged loans, CLOs, direct lending/private credit/senior lending) at an asset manager, investment consultant, private markets fund, or pension fund / LP.
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