Debt Fund Manager
Full Time · Investment · On-Site
Mumbai, Maharashtra, India
We are seeking a highly experienced Debt Fund Manager to lead the fixed-income investment portfolio of our insurance business at ACKO. The successful candidate will be responsible for managing debt investments across government securities, corporate bonds, money market instruments, and other fixed-income products to ensure optimal returns while maintaining compliance with IRDAI regulations and the company’s risk framework.
This is an exciting opportunity for a seasoned professional to play a key role in shaping the investment strategy of our insurance business and contributing to the company's growth and success.
Proven track record of managing debt investments, with a strong understanding of fixed-income markets and instruments, including government securities, corporate bonds, and money market instruments.
Excellent knowledge of IRDAI regulations and compliance requirements for insurance companies.
Strong analytical and problem-solving skills, with the ability to analyze complex data sets and make informed investment decisions.
Effective communication and interpersonal skills, with the ability to work collaboratively with cross-functional teams, including investment, risk, and compliance teams.
Strong leadership skills, with the ability to motivate and inspire a team of investment professionals.
Ability to manage multiple projects and priorities, with a strong attention to detail and ability to meet deadlines.
Strong understanding of risk management principles and practices, with the ability to identify and mitigate potential risks associated with debt investments.
Ability to stay up-to-date with market trends and developments, with a strong network of contacts and relationships within the investment community.
Manage debt investments across government securities, corporate bonds, money market instruments, and other fixed-income products to ensure optimal returns while maintaining compliance with IRDAI regulations and the company’s risk framework.
Develop and implement an investment strategy that aligns with the company's overall business objectives and risk tolerance.
Lead a team of investment professionals to analyze complex data sets, identify investment opportunities, and make informed investment decisions.
Collaborate with cross-functional teams, including investment, risk, and compliance teams, to ensure alignment and coordination of investment activities.
Develop and maintain relationships with key stakeholders, including investors, regulators, and industry partners.
Stay up-to-date with market trends and developments, and identify opportunities to enhance the investment portfolio and drive growth and returns.
Develop and implement policies and procedures to ensure compliance with IRDAI regulations and the company’s risk framework.
Monitor and report on investment performance, including risk metrics and returns, to ensure alignment with the company's overall business objectives.
Provide thought leadership and expertise on investment markets and trends to the company's leadership and stakeholders.
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