Senior Portfoliomanager Active Fixed Income Macro (m/f/d)

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As the asset manager of Munich Re and ERGO, MEAG makes a significant contribution to the success of Munich Re Group. Our staff bring together peerless know-how in all the relevant asset classes and are the driving force behind our success as one of the world’s top asset managers. We are an unbeatable team – something we have once again impressively demonstrated during the Corona crisis. MEAG - All assets. One team.

We are looking for a "Senior Portfolio Manager Macro FI (m/f/d)" for our location in Munich as soon as possible.
 

Responsibilities:

  • Macro fixed income strategist: Be part and deliver value into the team of macro FI strategists
  • Idea generation: Contribute into the investment process by formulating market views (level, slope, curvature, volatility in nominal, real and inflation space) and undertaking quantitative and qualitative desk research on G10 sovereign rates - main countries of focus: UK, Sweden and Norway
  • Portfolio management: Responsible for UK, Sweden and Norway sovereign rates portfolios
  • Presentation: Create and hold deep dive presentations on UK, Sweden and Norway sovereign rates markets
  • Specialist: First point of contact for all portfolio management related topics surrounding UK, Sweden and Norway sovereign rates markets
  • Pitch presentations: Create and hold presentations

Requirements:

  • University degree in economics or mathematics and >10 years of experience in portfolio management
  • Senior G10 rates portfolio manager with excellent knowledge of the UK sovereign rates markets; very good knowledge of Sweden and Norway a plusand fundamentally driven investment style combined with excellent technical and valuation knowledge and deeply embedded understanding of the global, macroeconomic environment
  • Long-term experience in portfolio construction, portfolio implementation, portfolio risk management and bonds / derivatives trading with Experience in cross asset and cross market portfolio strategy advantageous and strong knowledge of portfolio theory, financial products, analytics, statistics
  • Passionate, willingness to deliver, open-minded, hands-on mentality and strong interpersonal, communication and presentation skills
  • Very good knowledge of MS Office, Bloomberg and R as well as good knowledge of Simcorp Dimension advantageous and very good command of English
  • Fluent German language skills 

Our Benefits:

MEAG stands not only for a partnership-based relationship with customers, but also for fair treatment of applicants and employees. Regardless of gender. So if we use the masculine form of personal names, this is done solely for reasons of reading flow. Severely handicapped applicants will be given preferential consideration if their aptitude is otherwise essentially the same.

You can expect a challenging field of activity that you can work in autonomously. We give you the freedom to contribute your own ideas on how you want to shape your career, and we foster your personal development with additional training measures. With us you will find a close-knit group of colleagues who value openness, respect and teamwork. In addition to a modern workplace in Munich’s Schwabing district, you will also benefit from attractive and performance-based remuneration. Bring your assets with you and make our team even stronger - opt for a secure future with attractive career prospects and an international orientation! We look forward to receiving your online application with CV, references and academic certificates via the "Apply now" button.

 
  • Mr. Olaf Thielemann
  • HR Business Partner
  • +49 89 2489 2028

Always up to date!

Info-Broschüre. MEAG - Alle Assets. Ein Team

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