Director, Portfolio Manager

First Abu Dhabi Bank (FAB) · Abu Dhabi

On-site · Abu DhabiFull TimeFinance & Banking
No salary statedPosted 7h ago

Why we think you can apply

Employer country
United Arab Emirates · Abu Dhabi
Hiring model
UAE-based role · the employer hires in the UAE
Work from
Abu Dhabi · on-site
Time-zone overlap
Gulf Standard Time · none needed

Posted 7 hours ago · apply link checked 3 hours ago

About the role

Responsibilities

  • Construct and manage money market, smart cash and HQLA portfolios
  • Lead on relative value and allocation decisions across short-duration and liquidity instruments
  • Manage several liquidity and short-duration strategies with different risk/return, duration and liquidity mandates
  • Conduct fixed income and money market research focusing on issuer, security and relative value selection
  • Develop risk management strategies to protect HQLA eligibility, LCR/RWA objectives and client assets
  • Assess investment performance and report findings to the Chief Investment Officer
  • Perform financial forecasting to run scenario analysis and stress testing

Requirements

  • Deep knowledge of money markets, short-duration fixed income and liquidity instruments
  • Understanding of HQLA, LCR, NSFR and RWA frameworks
  • Ability to develop and implement investment strategies aligned with firm goals
  • Strong ability to analyze investment performance and trends
  • Familiarity with portfolio management and trading tools such as SimCorp, Bloomberg, BlackRock Aladdin, or Markit
  • Experience operating within an outsourced or augmented mandate model

About the Company

First Abu Dhabi Bank (FAB) is the largest bank in the UAE and one of the world's largest and safest financial institutions, offering a comprehensive range of personal and private banking services.

What we look for

  • Knowledge of money markets and short-duration fixed income
  • Understanding of HQLA, LCR, NSFR and RWA frameworks
  • Experience with SimCorp, Bloomberg, or BlackRock Aladdin
  • Experience with outsourced mandate models
Portfolio ManagementFixed IncomeMoney Markets
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