The London office of a renowned boutique Swiss-based International Financial Services group.
Job Description
Fixed Income Research & Bond Selection
Conduct fundamental and relative value analysis on corporate and sovereign bonds across developed and emerging markets.
Maintain and actively manage the fixed income investment universe, ensuring coverage of key sectors and issuers.
Generate investment ideas and trade recommendations, considering both primary and secondary markets.
Provide in-depth analysis of issuers, assessing financial health, capital structures, and creditworthiness.
Actively monitor credit markets, interest rate movements, and macroeconomic trends impacting fixed income securities.
Evaluate corporate actions, earnings reports, M&A activity, and regulatory changes affecting the bond universe.
Collaboration & Investment Process
Work closely with the Discretionary Portfolio Management (DPM) team and the Advisory team to integrate fixed income recommendations into client portfolios.
Maintain proactive communication with investment advisors and relationship managers to support client needs.
Actively participate in investment meetings and contribute to the house view on fixed income markets.
Translate research insights into actionable recommendations for high-net-worth individuals (HNWIs) and institutional clients.
Publications & Thought Leadership
Contribute to internal and external publications, including fixed income market outlooks, investment strategy updates, and credit research reports.
Support the creation of research presentations for clients and investment committees.
Engage in public speaking opportunities, including investment briefings and client events.
Risk & Compliance
Ensure investment recommendations align with internal risk guidelines and regulatory requirements.
Monitor liquidity, duration, and credit risks associated with fixed income positions.
The Successful Applicant
Qualifications & Skills
University degree in Finance, Economics, or a related field. A CFA/CAIA certification is highly desirable.
Minimum of 5 years of experience as a Fixed Income Analyst in asset management, private banking, or investment research.
Expertise in fixed income valuation, credit research, and asset allocation strategies.
Proficiency in Bloomberg, Refinitiv, and Microsoft Office (Excel & PowerPoint).
Knowledge of VBA, Python, or other programming languages.
Understanding of derivatives, structured products, and risk management techniques.
Fluent in English; additional languages such as French are a significant advantage.
Excellent written and verbal communication skills, with the ability to present complex financial concepts clearly.
Ability to collaborate effectively with investment advisors and relationship managers to deliver tailored solutions.
Strong problem-solving skills and attention to detail in financial analysis.
Ability to work independently in a fast-paced environment, with a proactive and solution-oriented approach.
High ethical standards and a commitment to upholding the bank's investment philosophy.
Flexibility & Availability: Willingness to travel to Switzerland regularly.
What's on Offer
Excellent base package, bonus, and staff benefits.