Global Markets Credit (GMC) is responsible for ensuring a comprehensive and consistent credit underwriting and monitoring process for Global Markets lending and trading activities. The GMC Portfolio Management Team is responsible for credit portfolio management, data analysis, and reporting of the GMC lending and trading portfolios. The Funds Portfolio Manager will be responsible for the creation, maintenance and improvements of reports and data analysis for the Hedge Fund and Regulated Fund portfolios. As a Funds Portfolio Manager (PM), you will be integral in delivering Hedge Fund and Regulated Fund related counterparty credit risk reports, portfolio reviews, and presentations on a timely basis. The PM will contribute to a robust monitoring environment through analysis and written updates to management, while working closely with GMC Credit Officers, Portfolio Managers, and Risk colleagues. You will develop an understanding of Global Markets Credit as you analyze our Hedge Fund and Regulated Fund portfolios. The experience level of individuals in this role typically ranges from three to six years. Associated role title includes Credit Portfolio Manager.
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Job Type
Full-time
Career Level
Mid Level
Education Level
High school or GED