Fixed Income Investment Associate.
This mandate is run by SYMPHONI HR, a Mumbai-based executive search firm, est. 2003. Applications are email-verified and reach the search team running the role — confidentially, always.
About the organisation.
Our client is a prominent global financial services institution with a strong presence in international markets. They are known for their commitment to excellence in investment banking and wealth management, fostering a collaborative and high-performance culture. The firm provides a sophisticated environment for professionals to grow their expertise within the global capital markets.
About the role.
This role sits within the Investment Products and Services team, supporting product specialists, investment advisors, and relationship managers across international regions. You will be responsible for conducting in-depth credit research, generating actionable trade ideas, and providing advisory support to meet complex client needs. The position offers a unique opportunity to influence investment strategies through rigorous analysis and market insights.
What you will do.
- Conduct comprehensive credit research across assigned sectors to support investment decision-making.
- Generate high-quality content on new trade ideas pertaining to rates and credit asset classes.
- Assist relationship managers and investment advisors with product advisory to address specific client requirements.
- Identify emerging market thematics and shortlist fixed income securities aligned with current investment themes.
- Support onshore teams by addressing pricing queries on cash bonds and structured products.
- Perform periodic analysis of client portfolios to provide actionable insights to the desk.
- Contribute to process improvements, system enhancements, and optimization initiatives.
- Manage and execute ad hoc projects as required by the investment desk.
What you bring.
- 4–6 years of experience in fixed income research or investment analysis.
- Bachelor’s degree in Engineering, MBA in Finance, or CA qualification.
- Strong proficiency in fundamental, technical, and macroeconomic analysis.
- Hands-on experience with Bloomberg fixed income functions.
- Proven ability to perform credit research and analyze fixed income securities.
- Familiarity with S&P and Moody’s ratings analysis frameworks.
- Proficiency in Python for data analysis and process automation.
- CFA Level 2 certification is highly preferred.
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