The Voya Investment Management (Voya IM) Mortgage Derivatives Team manages approximately $6 billion across a number of portfolios. Its flagship, the Voya Mortgage Investment Fund, is one of the largest and most well-recognized hedge funds in the mortgage space, run by a deep, tenured team with more than three decades of track record. The team also manages proprietary and external client capital across insurance, real money, and other institutional mandates. Rooted in mortgage derivatives and prepayment-sensitive assets, the team's investment toolkit spans liquid agency MBS, CMO structuring and arbitrage, credit risk transfers, mortgage servicing rights, and non-agency MBS. The team operates as a levered, total-return strategy serving a diverse client base. As a Senior Portfolio Manager, you will be a key contributor to the overall performance of the team and help drive superior results, with an initial focus on liquid agency MBS. The successful candidate brings substantial investment experience and a demonstrated track record, buy-side or sell-side. Level, title, and compensation are shaped around the candidate's experience and track record. Pay is weighted toward incentive and tied to the investment results. This will be an office-centric role and will be based in our Atlanta, GA office.
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Job Type
Full-time
Career Level
Senior