Portfolio Manager - Active Fixed Income at UBS
Sydney, New South Wales, Australia -
Full Time


Start Date

Immediate

Expiry Date

28 Nov, 25

Salary

0.0

Posted On

29 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Numeracy, Asset Management, Fixed Income, Finance, Economics, Interpersonal Skills, Fixed Income Strategies, Macroeconomics

Industry

Financial Services

Description

ABOUT US

UBS is the world’s largest and the only truly global wealth manager. We operate through four business divisions: Global Wealth Management, Personal & Corporate Banking, Asset Management and the Investment Bank. Our global reach and the breadth of our expertise set us apart from our competitors.
We have a presence in all major financial centers in more than 50 countries.

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Responsibilities

UBS Asset Management (Australia) Ltd was established in 1985 and has invested assets of approximately A$63 billion (at 30 April 2025). We are part of an integrated global business with global fixed income assets of USD423 billion and a team of over 130+ investment professionals globally. The Sydney-based Fixed Income team manages A$27 billion in cash and fixed income assets on behalf of Australian and global investors, making it one of the largest fixed income managers in Australia.
We are seeking a self-driven and motivated individual to join the Australian fixed income investment team as a Portfolio Manager.

The key responsibilities for the role include:

  • Translation, implementation and monitoring of fixed income investment strategy across a number of fixed income portfolios;
  • Monitoring of portfolios for compliance with mandate guidelines, risk profile and investment objectives;
  • Evaluation of portfolio performance and attribution;
  • Assist with input regarding portfolio activity to client reports and other communications.

As a member of the Sydney based team, the individual would also participate in strategy meetings and be expected to be knowledgeable on financial market drivers, economic developments relevant to interest rates and fixed income markets more generally.

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