Drive impactful portfolio strategies in a global investment environment. Collaborate with industry experts to optimize credit investments. Enhance your career within a leading financial organization.

Portfolio manager CLOs
in Financial Services PermanentJob Detail
Job Description
Overview
- Lead portfolio management for loans and CLOs within a dynamic, global investment team.
- Collaborate with credit analysts to optimize investment strategies and deliver benchmark outperformance.
- Engage with sell-side institutions, CLO managers, and syndication desks for market insights.
- Contribute to team development and process improvement initiatives.
- Participate in strategic communication and stakeholder engagement activities.
- Work within a high-performance, collegial team culture emphasizing collaboration and excellence.
- Hybrid work arrangement with in-office presence required four days per week.
- Opportunity to impact global investment strategies within a renowned financial organization.
Key Responsibilities & Duties
- Manage a diversified portfolio of loans and CLOs to achieve value-add and downside protection.
- Collaborate with credit analysts to evaluate investment opportunities and make informed recommendations.
- Maintain strong relationships with market participants for timely insights and deal flow.
- Coordinate with internal teams to execute strategies and maximize investment outcomes.
- Engage in portfolio reviews, strategy updates, and asset allocation discussions.
- Contribute to team initiatives, including process improvements and team development efforts.
- Provide thought leadership in credit investing and portfolio construction strategies.
- Ensure alignment of portfolio strategies with broader organizational objectives.
Job Requirements
- Bachelor of Arts (BA) degree with a strong academic background.
- Minimum 5 years of experience managing loans and CLO portfolios.
- Preferred 15 years of experience in credit portfolio management.
- CFA and CPA certifications are advantageous.
- Proven expertise in bottom-up investing and top-down portfolio construction.
- Strong knowledge of leveraged loan issuers and market dynamics.
- Demonstrated ability to cultivate productive relationships with stakeholders.
- Experience in a buy-side investment environment is preferred.
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