Description
Our Client is a FTSE 100 Insurance & Investment business and they are looking to recruit an interim Investment Manager for 6 months.
Key Responsibilities:
- Management of/input to the appraisal of illiquid credit investment strategies
- Monitoring the performance and governance of the illiquid credit investments
- Management of relationships with key fund managers, consultants and administrators in relation to the management of the Group's portfolios
- Driving adherence to the global investment management framework to ensure compliance with all relevant Group and regulatory and risk limits
- Leading or contributing to the development of analytical tools and techniques to support and enable investment modelling and forecasting
- Reporting on market development and fund performance
Key Skills & Experience required:
- Experience in a Front Office/Fund Management role in the Asset Management sector is essential
- Knowledge of the Fixed Income Asset class would also be essential
- Experience within Credit Markets
- Exposure to the insurance industry would be advantageous
- Strong communication and presentation skills are required
- Excellent stakeholder/relationships management skills