At a Glance
- Tasks: Lead local currency EMD portfolios and collaborate on investment strategies.
- Company: Join a globally recognised investment platform with significant assets under management.
- Benefits: Enjoy competitive compensation, healthcare, fitness perks, and generous vacation policies.
- Why this job: Be part of an innovative, diverse team with access to cutting-edge research and technology.
- Qualifications: 7-10 years in fixed income portfolio management, preferably with a CFA designation.
- Other info: Work in a collaborative environment that values long-term thinking and intellectual curiosity.
The predicted salary is between 72000 - 108000 £ per year.
Position Overview:
We are seeking a highly skilled and experienced Emerging Market Debt (Local) Portfolio Manager to join our dynamic and collaborative global fixed income team. The ideal candidate will have a proven long-term track record of strong performance managing active local market mandates, particularly benchmarked to GBI-EM Global Diversified (GBI-EM GD) indices, or similar background. In addition to managing dedicated local currency portfolios, the candidate will also be responsible for local market allocations within broader EM, blended, and global fixed income portfolios, requiring a flexible and integrated investment approach. The candidate will work closely with the Co-Heads of EMD for selection and sizing of risk.
This role offers the opportunity to contribute to a large, well-resourced platform with access to deep research, risk, and trading capabilities.
Key Responsibilities:
- Lead the management of local currency EMD portfolios and local allocations within broader EM, blended, and global strategies.
- Develop and maintain a clear, structured framework for portfolio construction, risk budgeting, and performance attribution.
- Employ a diverse set of alpha-generating techniques and instruments, including duration, curve, country selection, and derivatives.
- Oversee the implementation, sizing, and management of systematic rates strategies as well as analyzing information from the underlying signals.
- Collaborate with macroeconomic research, quantitative analytics, and trading teams to generate and implement investment ideas.
- Maintain a disciplined, risk-aware investment process, ensuring alignment with client guidelines and internal risk parameters.
- Contribute to the development of new strategies and products within the EMD space.
- Represent the strategy and platform to internal stakeholders, clients, and consultants.
Required Qualifications & Experience:
- Minimum 7–10 years of experience in fixed income portfolio management, with a focus on emerging market local debt.
- Demonstrated strong performance track record (top quartile) over 1, 3, and 5 years managing active GBI-EM GD mandates, or similar local mandates.
- Experience managing local allocations within multi-sector portfolios, including EM blended and global fixed income strategies.
- Deep understanding of macroeconomic drivers, monetary policy, and political risk in emerging markets.
- Experience working within a large, collaborative investment platform with cross-functional teams.
- Advanced degree in Finance, Economics, or related field preferred; CFA designation preferred.
Key Skills:
- Deep knowledge of EM local markets, including liquidity dynamics, market microstructure, and regulatory environment.
- Strong communication and presentation skills; ability to articulate investment views to internal and external stakeholders.
- Collaborative mindset with the ability to work effectively across global teams.
- High level of intellectual curiosity and a proactive approach to idea generation.
- Strong decision-making under uncertainty and a disciplined investment process.
- Deep sense of risk awareness and accountability in managing client capital.
- Strong quantitative and analytical skills; proficiency in quant/market tools and risk systems.
- Familiarity with a wide range of instruments including local bonds, FX, interest rate derivatives, and structured products.
Why Join Us?
- Be part of a globally recognized investment platform with significant AUM and institutional reach.
- Access to cutting-edge research, technology, and trading infrastructure.
- Work in a diverse and inclusive environment that values innovation and long-term thinking.
- Competitive compensation and career development opportunities.
Healthcare & Medical Insurance
We offer a wide range of health and welfare programs that vary depending on office location, including medical, dental, short-term disability, long-term disability, life, accidental death, labor accident, and business travel accident insurance.
We offer competitive vacation policies based on employee level and office location, promoting time off from work with generous vacation entitlements and a minimum of three weeks expected vacation each year.
Financial Wellness & Retirement
We assist employees in saving and planning for retirement, offer financial support for higher education, and provide benefits to help employees prepare for the unexpected. We also offer live financial education and content on various topics.
Health Services
We provide medical advocacy, counseling, and referral services through the Employee Assistance Program (EAP), as well as global medical, security, and travel assistance, and ergonomic programs. Some offices feature on-site health centers.
Fitness
Some offices have on-site fitness centers, and we reimburse eligible employees for fitness club memberships or activities up to a pre-approved amount.
Child Care & Family Care
We offer on-site child care centers, mother and baby rooms, homework rooms, and provide resources for expectant parents and transitioning parents. Stipends for adoption, surrogacy, egg donation, and retrieval are also available.
Benefits at Goldman Sachs
Learn more about our comprehensive benefits package.
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London · United Kingdom · Extended Managing Director (London) employer: Goldman Sachs Bank AG
Contact Detail:
Goldman Sachs Bank AG Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land London · United Kingdom · Extended Managing Director (London)
✨Tip Number 1
Network with professionals in the emerging market debt space. Attend industry conferences, webinars, and local meetups to connect with potential colleagues and mentors who can provide insights into the role and company culture.
✨Tip Number 2
Stay updated on macroeconomic trends and political developments in emerging markets. This knowledge will not only help you in interviews but also demonstrate your commitment and understanding of the complexities involved in managing local currency portfolios.
✨Tip Number 3
Prepare to discuss specific strategies you've employed in previous roles that align with the responsibilities outlined in the job description. Highlight your experience with alpha-generating techniques and how you've successfully managed risk in your portfolios.
✨Tip Number 4
Familiarise yourself with the company's investment philosophy and recent performance. Being able to articulate how your background and skills align with their approach will set you apart during discussions with hiring managers.
We think you need these skills to ace London · United Kingdom · Extended Managing Director (London)
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights your experience in fixed income portfolio management, especially with emerging market local debt. Use specific metrics to showcase your performance track record, particularly with GBI-EM GD mandates.
Craft a Compelling Cover Letter: In your cover letter, emphasise your understanding of macroeconomic drivers and your collaborative experience within large investment platforms. Mention how your skills align with the key responsibilities outlined in the job description.
Showcase Relevant Skills: Clearly list your quantitative and analytical skills, as well as your familiarity with various instruments like local bonds and derivatives. This will demonstrate your capability to manage local currency EMD portfolios effectively.
Highlight Your Collaborative Mindset: Since the role requires working closely with cross-functional teams, provide examples of past experiences where you successfully collaborated with others to achieve investment goals. This will show that you can thrive in a team-oriented environment.
How to prepare for a job interview at Goldman Sachs Bank AG
✨Showcase Your Track Record
Be prepared to discuss your past performance in managing local market mandates, especially those benchmarked to GBI-EM GD indices. Highlight specific examples of how your strategies led to top quartile results over 1, 3, and 5 years.
✨Demonstrate Your Analytical Skills
Expect questions that assess your understanding of macroeconomic drivers and risk management. Be ready to explain how you analyse market signals and implement systematic rates strategies, showcasing your quantitative skills.
✨Emphasise Collaboration
This role requires working closely with various teams. Share experiences where you successfully collaborated with macroeconomic research, trading teams, or other cross-functional groups to generate investment ideas.
✨Articulate Your Investment Philosophy
Prepare to clearly communicate your investment views and decision-making processes. Use examples to illustrate your disciplined approach to risk management and how you align with client guidelines and internal risk parameters.