The Fund Manager, Fixed Income will work closely with the CIO to design and implement our global fixed income investment strategy. Responsibilities will cover the following:- Select, direct and execute Fixed Income Trades on behalf of the company.- Interact with both internal and external parties to ensure seamless execution on mandated transactions and coordinate the ultimate settlement of transactions across all asset classes.- Develop and monitor assessments on portfolio risks, prepare a report for decision making.- Perform and evaluate research, such as detailed company or industry analyses, to inform financial forecasting, decision making, or valuation.- Maintain internal databases of market data such as market spreads, deal pricing details, etc.- Monitor macroeconomic data and provide market outlook as it affects the various investment portfolios- Interact with Fund Managers to develop and implement fund investment policies or strategies.- Review and comply with the firm's policies and proactively identify operational risks/ control deficiencies.- Monitor financial or operational performance of individual investments to ensure portfolios meet risk goals.- Maintain Investment portfolios, and report on portfolio performance to management.- Interact with clients through portfolio update meetings and provide investment recommendations.- Monitor regulatory law changes to ensure Investment compliance or to capitalize on development opportunities.- Attend investment briefings or consult financial media to stay abreast of relevant investment markets.**Requirements**:- Minimum of a bachelor's degree, preferably with a concentration in Economics, Finance, Accounting, Technology, or Engineering- At least 7 years of Institutional experience at a trading firm.- Has previous experience in macroeconomic research, fund management and should be very interested in and follow global markets- Master's degree is an added advantage- Must have a CFA certification or is in the process of acquiring one (1)- Excellent written & oral communication skills- Experience with Blackrock's Aladdin Portfolio Management system desired- Proficiency in Bloomberg, Microsoft Excel, PowerPoint and Word**Benefits**:Pay is very competitive and the role would be entitled to performance based profit sharing.- Bachelor's degree in Computer Science or Engineering - Minimum of 2nd class lower in first degree (Professional Qualifications is an advantage) - Minimum of 2-3 years Software Testing experience - Advanced knowledge of Software Testing theories and practices - Good background in ICT industry, consulting, and business advisory