About Us:
QIC Asset Management is one of Qatar’s largest asset managers, overseeing around USD 8 billion in Assets Under Management. Our tailored investment strategies and global expertise are designed to help you flourish in dynamic markets.
Responsibilities:
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The Analyst will be part of a team managing a global fixed income portfolio with a focus on Investment Grade credit.
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Conduct fundamental bottom-up credit research across both Emerging Market and Developed Market issuers.
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Prepare credit notes, research reports, and investment update presentations on a regular basis.
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Work closely with the Portfolio Manager in managing fixed income mandates and monitoring portfolio positions.
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Maintain a strong understanding of global interest rate markets, macroeconomic factors influencing rates, and in-depth knowledge of G3 economies and their interest rate dynamics.
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Knowledge of interest rate derivatives (e.g., IRS, FRA, Swaptions) will be considered an added advantage.
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Execute fixed income trades and build relationships with sell-side trading counterparties.
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Collaborate with Risk and Back-Office teams to ensure timely financial reporting and adherence to compliance requirements.
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Support portfolio management activities and contribute to the investment decision-making process.
Profile Requirements:
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3–5 years of relevant experience, preferably on the buy side as a Fixed Income Analyst.
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Bachelor’s or Master’s degree in Finance, Economics, Accounting, or a related field.
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Candidates pursuing or holding the CFA designation will be preferred.
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Proficiency in Bloomberg, Microsoft Excel, and PowerPoint