A leading global finance firm is seeking a Portfolio Manager for Emerging Market Local Debt. This role involves generating and implementing investment ideas, developing macro views, and collaborating with global teams. The ideal candidate will have 5–10 years of experience in EM local rates, a strong macroeconomic background, and proficiency in analytical tools like Python or R. Candidates should have excellent communication skills and the ability to work in a fast-paced environment, with a focus on generating consistent excess returns within risk budgets.
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