Senior Portfolio Administrator responsible for analyzing and managing fixed-income investments at BAC. Conducting market analysis and presenting strategies to executive committees.
Responsibilities
Assess local and international economic conditions, identifying risks and opportunities that shape portfolio strategy.
Conduct credit and sector analysis within international fixed-income markets, evaluating credit quality, spreads, duration, and relative positioning.
Define strategies considering market trends, relative valuation of securities, risk diversification, and optimization of the risk-return profile.
Prepare and defend proposals before executive committees, articulating technical analysis through clear and strategic storytelling.
Requirements
Degree in Finance, Economics, or Financial Markets
5+ years of experience managing financial portfolios
5 years of experience trading international fixed income
Advanced Bloomberg proficiency
Strong executive presentation and storytelling skills
Bilingual (English required)
Technical expertise in investments, capital markets, macroeconomics, quantitative analysis, and market risk
Benefits
Private health insurance
Employee solidarity association
Additional paid leave days
Preferential financial benefits
Agreements with universities, gyms, and healthcare centers
Corporate volunteering opportunities
Job title
Senior International Markets Portfolio Administrator
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