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Royal London

Fund Manager (Global Fixed Income)

3w

Royal London

London, GB · Full-time · £90,000 – £150,000

About this role

Royal London Asset Management (RLAM) seeks a Fund Manager to join its Credit Team in London. You will co-manage active global fixed income portfolios alongside the lead fund manager. You will undertake credit research as required and support marketing efforts, with emphasis on Sustainable strategies.

Develop and maintain knowledge of RLAM’s Sustainable processes, ensuring Environmental, Social and Governance risks are considered in portfolio construction. Collaborate with Quants Manager to support global investment grade strategies. Work with RLAM’s Responsible Investment team and other Sustainable stakeholders.

Ensure IMA constraints and investment policies are adhered to, while developing knowledge of RLAM’s portfolio risk systems. Collaborate with teams across the Client Group and Compliance for regulatory adherence. Partner with a sister role in Royal London Group to maintain a robust procedural framework.

Contribute to investment decisions of the RLAM Fixed Income team and build knowledge of credit and wider fixed interest markets. This is an exciting opportunity to join RLAM entering a new chapter of growth and international expansion. Hybrid home/office based working supports the role.

Requirements

  • Knowledge of fixed income markets, especially global investment grade
  • Good knowledge of data systems (Bloomberg, Aladdin, Power BI, Excel)
  • Some knowledge of derivatives preferable
  • Willingness to study for relevant qualifications important to the role
  • Aptitude to learn financial analysis and develop wider fund management skills
  • Enthusiasm for Sustainable investing

Responsibilities

  • Co-manage global investment grade portfolios
  • Develop and maintain knowledge of RLAM’s Sustainable processes and ensure ESG risks are evaluated in portfolios
  • Collaborate with Quants Manager to support global investment grade strategies
  • Ensure adherence to IMA constraints and investment policies
  • Develop and maintain knowledge of RLAM’s portfolio risk systems
  • Contribute to investment decisions of RLAM Fixed Income team
  • Undertake credit research as required
  • Support marketing efforts of RLAM, with emphasis on Sustainable strategies

Benefits

  • Hybrid home/office based working