About this role
CFA Institute in Singapore is seeking a professional to manage and monitor fixed income portfolios. This role demands 3-5 years of experience and expertise in macroeconomic analysis, risk management, and credit research. The ideal candidate should possess a Bachelor's degree in relevant fields and preferably hold a CFA or FRM designation. Proficiency in Bloomberg and teamwork skills are essential for success in this role. J-18808-Ljbffr
Frequently asked questions
What does a Senior Fixed Income Portfolio Manager: Rates, Credit & FX at CFA Institute do?
CFA Institute in Singapore is seeking a professional to manage and monitor fixed income portfolios. This role demands 3-5 years of experience and expertise in macroeconomic analysis, risk management, and credit research. The ideal candidate should possess a Bachelor's degree in relevant fields and p…
How much does a Senior Fixed Income Portfolio Manager: Rates, Credit & FX at CFA Institute pay?
This role lists a salary of S$60 – S$90 per month.
Is this Senior Fixed Income Portfolio Manager: Rates, Credit & FX role remote, hybrid, or on-site?
The listing is based in Singapore. Check the posting for remote or hybrid options.
How do I apply for this Senior Fixed Income Portfolio Manager: Rates, Credit & FX role?
You can apply directly on CFA Institute's careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.