Jobbeschreibung
HAPEV's Portfolio Management Team manages the investments of one of Germany's leading corporate pension plans. A team of fourteen investment professionals run assets of more than EUR 13bn, out of which more than EUR 5bn are directly held fixed income investments and externally managed fixed income strategies.
Key factors of HAPEV's success story are our ambitions, entrepreneurship, team spirit, crea-tivity and agility. They continuously drive us in our hunt for new investment ideas and solutions to challenges arising in global capital markets.
Our flat hierarchies give room for personal responsibility, creativity as well as professional and personal development. It allows us to separate us from the broader market and pur-sue opportunities on less-trodden paths. In short: Here, you can grow, stand out and make a difference together with your new colleagues!
Sounds like an opportunity to you? You bet it is!
If you are enthusiastic about rates and credits, enjoy analyzing global markets, have sev-eral years of experience in doing so and you are keen to take responsibility to develop and implement investment ideas without having to put up with cumbersome hierarchies or overwhelming bureaucracy, then we would be pleased to receive your application as:
Senior Portfolio Manager Fixed Income (f/m/d)
- Formal coverage of global macro, interest rate and credit markets (research, strategy) together with your colleagues
- Management of the direct fixed income investments and different existing fixed income master funds incl. overlays
- Conducting research and converting outcomes into actionable investment ideas
- Ownership of the implementation of investment solutions (incl. searches, man-ager selection, due diligence and monitoring)
- Enhancing analytical tools to optimize our strategic and dynamic/tactical alloca-tions and portfolio compositions
- Presenting the asset class to internal and external stakeholders
(incl. on conferences to external managers and service providers) - Contribution to cross-asset strategy development
- Participation in various investment related projects (e.g. digitalization)
- University degree in finance, economics, business administration, mathematics, or engineering with a good degree or a banking education with a capital market-specific qualification, e.g. CFA or CIIA
- Comprehensive understanding of capital markets in the areas of interest rates, credits, fixed income derivatives and cross asset allocation
- Several years of relevant industry experience in managing fixed income portfoli-os and/or fixed income related investment experience with banks, asset manag-ers, pension funds or insurance companies
- Independent, analytical and structured way of working
- Proficient in MS-Office, Bloomberg, knowledge of programming languages (VBA, R, SQL) advantageous
- Communicative, stress-resistant team player with the ability to present your ide-as eloquently and concisely
- Fluent in German and English
- A professional investment environment with a dedicated team striving to be-come the best corporate pension fund for our members in Germany
- Long-term employment in a secure, growing and economically strong company
- Motivating environment with an agile team organization
- Structured and comprehensive induction program for everything related to our mission
- Modern working place in Hamburg's new central business district ‘HafenCity'
- Flexible working processes, subject to business needs, colleagues are able to re-quest work patterns to reflect their personal circumstances
- Attractive compensation package including retirement (through our pension plans) and a large number of other benefits such as subsidies to commuter tick-et, restaurant vouchers as well as health offers