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Fixed Income- Dealer and Fund Manager

MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED · India

FULL TIME

Job Description

The role will combine Fund Management, Fixed Income Dealing, Market Analysis and Portfolio Strategy , with a focus on delivering optimal risk-adjusted returns while maintaining liquidity and regulatory compliance.

Key Responsibilities

  • Manage and execute investments across Government Securities, Treasury Bills, Corporate Bonds, Commercial Papers, Certificates of Deposit and other Money Market instruments .
  • Assist in managing Debt, Liquid, Money Market, Short Duration and SIF portfolios .
  • Develop and implement portfolio strategies based on interest-rate outlook, yield curve movements, liquidity, credit spreads and market conditions .
  • Monitor macroeconomic developments, RBI policy, market liquidity and regulatory changes impacting fixed-income portfolios.
  • Execute transactions in both primary and secondary debt markets , ensuring efficient pricing, sourcing and execution.
  • Provide inputs on duration, yield curve positioning, credit exposure and portfolio construction .
  • Continuously monitor market sentiment, trading volumes, price movements and liquidity conditions.
  • Evaluate investment opportunities from a risk-return, credit quality, valuation and liquidity perspective.
  • Ensure adherence to SEBI, AMFI and internal investment guidelines, limits and risk parameters .
  • Prepare portfolio analytics, market updates and investment views for internal discussions and investment committees.
  • Coordinate with brokers, issuers, counterparties, research, risk, compliance and operations teams.
  • Support the Fund Manager in portfolio monitoring, investment decisions and implementation of debt-market strategies.

Candidate Profile

  • Strong understanding of the Fixed Income & Debt Markets .
  • Hands-on experience in Money Market, Liquid Funds, Short Duration Funds or Debt Mutual Funds .
  • Experience in dealing as well as portfolio management will be a strong advantage.
  • Exposure to SIF debt investments / strategies will be preferred.
  • Strong analytical, negotiation, market intelligence and decision-making capabilities.

#FixedIncome #DebtMarkets #MoneyMarkets #FundManagement #DebtDealing #PortfolioManagement #YieldCurve #InterestRates #CreditMarkets #LiquidityManagement #GovernmentSecurities #CorporateBonds #SEBI #SIF #FixedIncomeDealer

Details

CompanyMONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED
LocationIndia
TypeFULL TIME
Nichesales

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