Senior Portfolio Manager, Emerging Market Debt

ThriventMinneapolis, MN
$235,710 - $353,564Onsite

About The Position

The Emerging Markets Debt Portfolio Manager is a senior member of the Fixed Income Investments team responsible for the management of the Thrivent Core Emerging Market Debt Fund and the Emerging Market Debt (EMD) exposure in the Thrivent Core Plus Bond ETF. Develops and communicates team’s emerging market outlook and strategies for implementation across Thrivent’s various mixed asset accounts, mutual funds, and ETFs.

Requirements

  • Master’s degree in international economics or finance, business administration, another related field or CFA designation.
  • Seven or more years’ experience in an emerging markets sovereign fixed income analyst role or as part of a portfolio management team.
  • Strong analytical and technology skills, including proficiency with Blackrock Solution’s Alladin OMS, Bloomberg, and Excel.

Nice To Haves

  • Master’s degree in international economics, finance, business administration, or a related field, and CFA designation.
  • Ten or more years combined emerging markets credit analysis and portfolio management experience, at least 5 years of which should be in a dedicated emerging market debt portfolio management role.

Responsibilities

  • Portfolio management of the Thrivent Core Emerging Markets Debt Fund.
  • Provide input to Thrivent Core Plus Bond ETF team for recommended EMD aggregate exposure and country weighting, as well as views on appropriate new EMD issues.
  • Develop and communicate the EMD team’s emerging market outlook and strategies for implementation while contributing to broader asset allocation decisions across Thrivent’s various mixed asset accounts, mutual funds, and ETFs.
  • Continually stay abreast and have an opinion on countries in the JPM EMBI Diversified Index, dynamics of the global economy, key commodity markets and capital markets with the goal of formulating overall strategies for funds under management and sharing views with other portfolio managers with EMD exposure.
  • Conduct in-depth, independent sovereign and quasi-sovereign credit analyses, evaluating political risk factors, fiscal policy, and global macroeconomic trends.
  • Interact with internal and external research and trading personnel in executing strategic and tactical moves with portfolio assets.
  • Responsible for all EMD credit research that supports all portfolios in the organization with EMD exposure.
  • Generate superior performance relative to benchmark while minimizing overall assumed risk to achieve performance.
  • Communicate EMD market strategy, performance updates, and risk metrics, to multiple constituencies including senior management, the mutual fund Board, clients, and other stakeholders.
  • Develop and maintain strong relationships with securities dealers and counterparties including EM sales coverage, traders, and syndicate desks.
  • May supervise, mentor, and develop EMD analysts.

Benefits

  • various bonuses (including, for example, annual or long-term incentives)
  • medical, dental, and vision insurance
  • health savings account
  • flexible spending account
  • 401k
  • pension
  • life and accidental death and dismemberment insurance
  • disability insurance
  • supplemental protection insurance
  • 20 days of Paid Time Off each year
  • Sick and Safe Time
  • 10 paid company holidays
  • Volunteer Time Off
  • paid parental leave
  • EAP
  • well-being benefits
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service