Senior Portfolio Administrator managing international investment opportunities at BAC Credomatic, focusing on economic analysis and portfolio strategy.
Responsibilities
Análisis macro y de entorno global Evaluarás el contexto económico local e internacional, identificando riesgos y oportunidades que impacten la estrategia del portafolio.
Análisis profundo de emisores y sectores Desarrollarás análisis crediticios y sectoriales en mercados internacionales de renta fija, evaluando calidad crediticia, spreads, duration y posicionamiento relativo.
Diseño de estrategias de inversión Definirás estrategias considerando tendencias bursátiles, valuación relativa de títulos, diversificación de riesgo y optimización del perfil riesgo-retorno.
Presentaciones a comités de alto nivel Prepararás y defenderás propuestas ante comités ejecutivos, articulando análisis técnico con narrativa estratégica.
Requirements
Formación en Finanzas, Economía o Mercados Financieros
Más de 5 años de experiencia en el manejo de portafolios financieros.
5 años de experiencia en trading de renta fija internacional.
Manejo experto de Bloomberg.
Experiencia en storytelling y elaboración de presentaciones ejecutivas.
Bilingüe (inglés indispensable).
Conocimiento técnico en inversiones, gestión bursátil, macroeconomía, análisis cuantitativos y riesgos de mercado.
Benefits
Seguro médico privado
Asociación Solidarista
Días libres adicionales
Beneficios financieros preferenciales
Convenios con universidades, gimnasios y centros de salud
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