- অভিজ্ঞতা
- 15+ yrs
- বেতন
- —
- শূন্যপদ
- 1
- পোস্ট করা হয়েছে
- ৭ ঘন্টা আগে
- Work mode
- অফিসে
- শিক্ষা
- Finance, Economics, Banking, or related discipline
- Eligibility
- Experienced finance or banking professionals with a degree in a relevant discipline and deep fixed income portfolio management expertise can apply. Candidates with CFA or equivalent credentials are especially preferred.
- Resume
- Required to apply
Where you'll work
কাজের বিবরণ
About the Role
Doha Bank is hiring a seasoned Section Head for Fixed Income to direct the strategy and performance of its fixed income portfolio. This is a senior leadership position with end-to-end accountability for building and executing long-term investment plans, shaping asset allocation, guiding portfolio construction, and continuously reviewing performance.
The role also involves spotting market opportunities, performing thorough due diligence, encouraging cross-business synergies with associates and subsidiaries, and leading a capable team with a strong focus on execution quality and governance.
Key Responsibilities
- Help design and implement investment strategies, annual business plans, and related policies.
- Supervise portfolio activities such as asset allocation, bond trading, hedging, and repo/reverse repo transactions to support liquidity objectives.
- Study global fixed income markets, track key developments, and share actionable insights with ALCO and senior leadership.
- Control credit exposure, shape hedging approaches, and ensure the work remains aligned with regulatory obligations.
- Develop and maintain productive relationships with internal teams as well as external counterparties, including banks and financial institutions.
- Lead the team in carrying out transactions, preparing reports, and analyzing the portfolio efficiently and with integrity.
Eligibility Criteria
- A university-level qualification in Finance, Economics, Banking, or a closely related field is required.
- At least 15 years of experience in financial services or banking, including substantial exposure to fixed income portfolio management.
- Deep understanding of fixed income instruments, portfolio risk-return assessment, and mitigation techniques.
- Demonstrated ability to structure, negotiate, and monitor fixed income transactions.
- CFA or an equivalent professional qualification is considered a strong advantage.