Vice President, Portfolio Management - Fixed Income

BlackRockNew York, NY
$188,178 - $210,000Hybrid

About The Position

Company: BlackRock Financial Management, Inc. Job Title: Vice President, Portfolio Management - Fixed Income Location: 50 Hudson Yards, New York, NY 10001 This position is primarily involved with fundamental fixed income portfolios with an active management strategy. Portfolio managers in this position are expected to represent their portfolio strategy in front of existing and prospective clients. This involves conducting and preparing presentation materials for periodical portfolio performance reviews, presenting macro outlook for clients, and building customized model portfolios for prospective clients who are considering a potential investment with our strategy. Global Fixed Income (GFI) platform offers fixed income investors with one of the industry’s broadest arrays of investment choices across index, model-based, and fundamental investment styles.

Requirements

  • Bachelor’s Degree or foreign equivalent in Financial Economics, Finance, Economics, Business Management, or related field and 60 months in job offered or closely related role.
  • Five (5) years of experience in Performance attribution, and benchmark construction.
  • Five (5) years of experience Utilizing programming, data querying, and scripting languages including R, Python (including Pandas), SQL and advanced Excel, including VBA, to handle large datasets.
  • Five (5) years of experience Utilizing Aladdin API to automate portfolio reporting.
  • Five (5) years of experience in client facing or external client engagement.
  • Two (2) years of experience in Fixed Income Global Bond portfolio management, portfolio construction, risk management, compliance and operations, and trading, including trading of benchmark extensions across the Global Aggregate Universe.
  • Two (2) years of experience in Fixed Income Global Bond relative value analysis across Foreign Exchange, Global Sovereign Bonds, Supranational, Agency Bonds, Covered Bonds, Agency Mortgage Backed Securities, Investment Grade Credit, High Yield Credit, Loans, Asset Backed Securities, Collateralized Loan Obligations, Commercial Mortgage Backed Securities, Non Agency Mortgage Backed Securities, and Private Placements.

Responsibilities

  • Manage risk and duration exposure for multi-currency fixed income portfolios within risk tolerances in compliance with client and fund guidelines and restrictions.
  • Support the CIOs and senior portfolio managers in running portfolios, contributing to investment decision-making, portfolio construction, and risk management.
  • Ensure portfolio implementation across multiple strategies, ensuring efficient trade execution, liquidity management, and alignment with investment views.
  • Drive consistency of portfolio exposures relative to mandates, house views, and risk budgets, proactively identifying and resolving drift or unintended positioning.
  • Manage daily portfolio responsibilities including performance monitoring, risk oversight, rebalancing, cash flow rebalancing, and attribution analysis.
  • Produce customized reporting and presentation materials required for client meetings.
  • Help develop automation, analytical tools, and scalable processes to improve efficiency and operational robustness across portfolios.
  • Lead and mentor junior portfolio managers and analysts, fostering a culture of accountability, rigor, and continuous improvement.

Benefits

  • annual discretionary bonus
  • healthcare
  • leave benefits
  • retirement benefits
  • strong retirement plan
  • tuition reimbursement
  • comprehensive healthcare
  • support for working parents
  • Flexible Time Off (FTO)
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