Fixed Income Trader / Portfolio Manager
Dubai / Gate Precinct Building 4We are looking for a Trader / Portfolio Manager to participate in all aspects of our team’s Asset & Liability Management, Portfolio Management, Investment and Trading functions in relation to the Fixed Income Portfolio — ensuring continuity of excellence, strengthening our credit franchise, and driving further growth. Join our small but dynamic team managing a mandate of CHF 10bn in bonds, where you will enhance our track record, engage with global counterparties, and help steer our multicurrency investments at the forefront of the market.
What would your role be?
- Implement and execute the CIO’s investment strategy by making independent investment decisions across all currencies.
- Engage in the company’s trading activities with the objective of generating revenue and optimizing returns.
- Manage and monitor the bank’s proprietary risk book, including reviewing and reconciling positions across all relevant trading systems.
- Support the CIO in defining both the strategic investment direction and tactical implementation steps.
- Ensure adherence to established risk limits and request credit lines as required to support investment activities.
- Manage credit and interest rate risk within the approved portfolio mandate.
- Oversee and optimize cash balances across all currencies.
- Proactively evaluate, quantify, and optimize positions, sensitivities, and limits across various trading and banking books.
- Develop, maintain, and monitor analytical tools to assess market trends and performance.
- Manage the company’s matched principal trading business, including maintaining and expanding client relationships.
- Conduct due diligence and annual KYC reviews for professional counterparties in compliance with regulatory standards.
- Actively participate in departmental projects aimed at process automation and efficiency improvements.
What are we looking for?
- Strong experience in fixed income portfolio management, bond trading or related field.
- At least 5 years of relevant experience in either of these areas: Fixed Income, Trading, Sales, Portfolio Manager, Investment Management, Treasury, Asset Liability Management.
- Experience in credit analysis of issuers.
- A team-player who does not crack under pressure in a fast moving and dynamic trading environment.
- Strong presentation, communication skills, with an entrepreneurial spirit.
- Excellent Bachelor or Master’s degree in finance, economics, or related field.
- Fluent in English.
- Excellent IT skills, including Excel and Bloomberg, Python or equivalent a plus.
- Based in or willing to relocate to Dubai.
What do we offer?
- Top Dubai location with sun all year round.
- Friendly, diverse team in an open-office space.
- All the latest technology to help you excel and advance.
- Agile environment in how we think, the way we work and our trust for each other.
- Flat hierarchy with collaboration at all levels.
We are looking for talented people, not just a CV that ticks all the boxes. Even if you do not meet every single requirement, if this role sounds like a good fit for you, we encourage you to apply.
Why Vontobel?
At Vontobel, you are building better futures for our clients and society, as well as for yourself. As a family-owned and publicly listed company with over 2,000 professionals based in 28 locations globally and headquartered in Zurich, we’re committed to long-term thinking and sustainability.
Our diverse team values unique perspectives, and we hire individuals determined to deliver in a dynamic and changing world. Even if you don’t meet all the criteria, we encourage you to apply if you’re enthusiastic about the role.
Do you want to be Vontobel?