Investment portfolios are a crucial part of any financial strategy, and as an Investment Portfolio Manager, you will play a vital role in optimizing the bank's HQLA and fixed income portfolios.
The primary objective is to balance liquidity, regulatory, and profitability objectives while ensuring that the portfolio remains aligned with the bank's overall business goals.
To achieve this, you will be responsible for executing money market, fixed income, and derivative transactions to implement strategic positioning. This will involve working closely with other teams within the bank to ensure that the portfolio is optimized for maximum return while minimizing risk.
Key skills and qualifications include a Master's degree in Finance, Economics, Mathematics, or related field, 5+ years of experience in treasury, ALM, or investment portfolio management, strong knowledge of fixed income markets and derivatives, and proficiency in financial systems such as Bloomberg.
Banque Internationale à Luxembourg values diversity and inclusion, promoting equal opportunities for all employees.