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Associate, Fig - Securitized Assets Portfolio Manager
Company | BlackRock |
Address | New York, NY, United States |
Employment type | FULL_TIME |
Salary | |
Category | Financial Services |
Expires | 2023-07-24 |
Posted at | 10 months ago |
R231648
- Track bond spreads and price movements of securities held in client portfolios.
- Coordinate with trading desk on new issues coming to market.
- Contribute towards the client experience by participating in portfolio reviews and client pitches.
- Publish periodic sector updates and daily market information, as well as ad hoc client and internal presentations.
- Work closely with the team’s Product Strategists to ensure smooth onboarding process and account activation for all new mandates and generating reports and analysis for client queries.
- Partner with both internal and external parties, including all major broker-dealers, to build relationships and continuously support communication channels.
- Provide information from conference calls, industry conferences, and discussions with management teams as well as research both industry-wide and company-specific issues.
- Perform fundamental research on securitized deals and relative-value analysis to reach investment conclusions and make recommendations.
- Work alongside the asset-backed securities (ABS), collateralized loan obligation (CLO), commercial mortgage-backed securities (CMBS), and agency and non-agency residential mortgage-backed securities (RMBS) sectors to learn about the different aspects of each market, to form investment ideas and to monitor portfolios.
- Assist in market research efforts and contribute to alpha through relative value and portfolio construction.
- Provide quantitative and analytical support to PMs investing in securitized securities.
- Analyze macroeconomic and industry trends and their impact on the securitized market and client holdings.
- Participate in the setup, evaluation, execution, and management of an investment’s lifecycle through new issue and secondary transactions.
- Strong problem solving skills and attention to detail.
- Technical skills including advanced Excel and Aladdin. SQL and programming experience a strong plus.
- Knowledge of financial institution / insurance client portfolio management a plus (e.g. accounting considerations, income or yield-focused management)
- Ability to learn fixed income markets, including complexities of different issue types, liquidity, and trading.
- Proficient in programming language (VBA/MATLAB/Python) and handling large datasets
- Ability to grasp quantitative concepts of risk and exposure, and their application to portfolio management.
- Ability to adapt quickly to changing market environments and perform under tight time constraints.
- BA/BS required. Progress toward CFA a plus.
- Fixed income and general finance knowledge, including an understanding of bond math and risk.
- Minimum 2 years of experience and knowledge of Fixed Income markets and Securitized Assets strongly desired.
- Good interpersonal skills.
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