Ellington Management Group
Fixed Income Portfolio Manager, Bank Loans
Ellington Management Group, Boston, Massachusetts, us, 02298
Overview
The Fixed Income Portfolio Manager will manage a $5 billion bank loan portfolio, including client portfolios, CLO collateral pools, and mutual fund allocations. The role involves collaboration with the Leveraged Credit team to expand the platform and engage with clients. Key Responsibilities
Manage institutional bank loan portfolios with a conservative, bottom-up style. Collaborate with the Leveraged Credit team to drive platform expansion. Engage with clients across institutional and retail channels to drive sales. Work with credit research analysts, risk managers, traders, and product managers. Required Experience
At least 10 years in an investment role analyzing and investing in bank loans. Prior experience managing CLOs. Established track record in bank loans and managing sizeable portfolios. Qualifications
Strong credit and quantitative portfolio management skills. Ability to make investment decisions based on rigorous analysis. Experience in assessing volatile or distressed credits; risk management experience is a plus. Proven interpersonal skills in a collaborative, results-oriented environment. Strong presentation skills for communicating investment decisions and strategies. Undergraduate degree with a strong academic record; MBA/CFA preferred. Willingness to travel and a commercial growth mindset. Compensation
Base salary range:
USD 100,000 - 225,000, with additional compensation components and benefits. #J-18808-Ljbffr
The Fixed Income Portfolio Manager will manage a $5 billion bank loan portfolio, including client portfolios, CLO collateral pools, and mutual fund allocations. The role involves collaboration with the Leveraged Credit team to expand the platform and engage with clients. Key Responsibilities
Manage institutional bank loan portfolios with a conservative, bottom-up style. Collaborate with the Leveraged Credit team to drive platform expansion. Engage with clients across institutional and retail channels to drive sales. Work with credit research analysts, risk managers, traders, and product managers. Required Experience
At least 10 years in an investment role analyzing and investing in bank loans. Prior experience managing CLOs. Established track record in bank loans and managing sizeable portfolios. Qualifications
Strong credit and quantitative portfolio management skills. Ability to make investment decisions based on rigorous analysis. Experience in assessing volatile or distressed credits; risk management experience is a plus. Proven interpersonal skills in a collaborative, results-oriented environment. Strong presentation skills for communicating investment decisions and strategies. Undergraduate degree with a strong academic record; MBA/CFA preferred. Willingness to travel and a commercial growth mindset. Compensation
Base salary range:
USD 100,000 - 225,000, with additional compensation components and benefits. #J-18808-Ljbffr