Fixed Income Portfolio Manager

Role Summary

This role will report to Head of Credit Portfolios.

The selected candidate will be managing Fullerton’s Fixed Income portfolios, with a focus on Asian USD corporate bonds.

Key Duties and Responsibilities

  • Manage USD credit Fixed Income portfolios with an active approach. The portfolios consist primarily of Asian USD corporate bonds.
  • Work closely with credit analysts to assess investment opportunities in the Asian credit markets.
  • Contribute to the credit investment process, including credit strategy formulation, portfolio construction and mandate compliance.
  • Support business development efforts, which may include marketing pitches to prospects and clients.
  • Work with assigned Sales Managers to identify solution to clients/investors (with consideration of clients’ risk profile and investment objectives) and help to further grow fixed income AUM.
  • Project a high level of professionalism in all client engagement to uphold image of Fullerton.

Education Qualification

  • Bachelor’s Degree from a reputable university with proven academic track record.
  • CFA qualification will be a plus.

Experience and Skills

  • At least 8 to 10 years of Fixed Income experience.
  • Proficient in fixed income portfolio management and markets with strong quantitative and analytical skills.
  • Preference for candidates with proven fund management experience in the fixed income credit space.
  • Familiar with fixed income analytics. Strong knowledge of MS Powerpoint, Excel and Word.
  • Excellent communication, marketing and interpersonal skills.
  • Strong team player with ability to work collaboratively with investment and business development teams.
  • Demonstrated initiative and work ethic.


  • Competitive and reward for performance.

Register your interest for the position by writing to with your CV, resume and transcript (for internships only).