
Vice President, Fixed Income Risk & Portfolio Analytics
Nari, Los Angeles, CA, United States
A global investment firm in Los Angeles is seeking a Vice President to lead risk analysis and portfolio construction for U.S. and European High Yield and Senior Loan strategies. The successful candidate will have over 8 years of experience in fixed income analytics, with a strong command of SQL and Python. This role involves developing risk models and enhancing portfolio analytics, collaborating with various teams to drive insights that underpin investment decisions. A Bachelor's degree is required; advanced degrees are preferred.
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