fixed income Portfolio managerAIA Group

Workplace: Taguig
Salary: Agreement
Work form: Full time
Posting Date: 21/12/2025
Deadline: 15/07/2023

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Job Description
FIND YOUR BETTER AT AIA
If you believe in better, we'd love to hear from you.
WE ARE LOOKING FOR .....
To effectively and efficiently manage Fixed-Income portfolios by delivering optimal and consistent returns within investment policies and objectives of AIA Philippines and its clients
. Formulating investment strategies
. Constructing portfolios that focus on interest producing securities and credit related products
. Perform asset selection and due diligence on investments in the portfolio
. Working with the Dealing team for securities market trading
Formulate investment strategies based on market analysis and Tactical Asset Allocation calls considering investment policies and objectives of Fixed Income Portfolio Mandates.
Perform asset selection and due diligence on investments in the portfolio.
Construct portfolios that focus on interest producing securities and credit related products.
Work closely with the Dealing Team for securities market trading and provide direction on managing the liquidity/cash allocation of Fixed Income portfolios.
Collaborate with AIA Group Investments and COEs for alignment of investment strategies, trading procedures and practices, and
ensure compliance to AIA investment Governance Framework Standards.
Collaborate with other departments and stakeholders for
Enhance relations with relevant offices and agencies to ensure
general compliance to internal and external regulations, investment limits, and standards of market ethics.
Continuously develop fundamental and technical skills to aid formulation of investment strategies. Attend market/ economic or product briefings and similar functions and ensure awareness and preparedness to respond and adapt to financial market changes and developments.
Cascade and share market information and economic updates to external and internal stakeholders.
Cultivate and maintain relationships with industry colleagues and
Counterparties.
Perform other responsibilities and duties as may be periodically assigned.
Adhere to best business practices and compliance to industry standards.
Share investment expertise and market knowledge by lending support to internal and external stakeholders.
Collaborate and maintain partnership with AIA Philippines, AIA Group Investment and COEs, and within AIA IMTC to achieve common goals
Uphold AIA Philippines reputation as among the best in class institutional investors in the Philippines
Coordinate closely with AIA Philippines for updates on fund performance, market outlook and investment strategies, whether in Quarterly Portfolio Reviews or ad hoc consultations.
Coordinate with AIA Group Investment and COEs for Dynamic Asset Allocation strategies, and alignment of Investment Governance Framework Standards, operations, and processes.
Coordinate with counterparties for market update and developments, investment alternatives, strengthening of reciprocal business relationships.
Coordinate with Business Development for market and fund performance updates as may be required.
Requirements:
Bachelor's Degree in Economics, Finance, Business, Mathematics, or another 4-year related course
Post-graduate studies, such as MBA, CFA, TIFP, etc. an advantage, but not a requirement
Strong track record in Fixed Income Portfolio Management
With 5-10 years of related work experience, preferably in a middle to senior management positions
Able to effectively communicate to a diverse audience to explain finance, economics, investments, and markets, among others.

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AIA Group

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