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Investment Officer (Fixed Income-Credit), New York City

United Nations Joint Staff Pension Fund

Org. Setting and ReportingThe United Nations Secretary-General is responsible for the investment of the assets of the United Nations Joint Staff Pension Fund (UNJSPF). The Secretary-General has delegated this responsibility to the Representative of the Secretary-General for the investment of the assets of the UNJSPF (RSG). The RSG is, in turn, assisted in this function by the Office of Investment Management (OIM). OIM manages approximately $100+ billion multi-asset class, global investment portfolio, about 85% of which is actively managed in-house. Asset classes under management comprise global equities, fixed income, foreign exchange, private equity, real estate, infrastructure, timber and commodities. OIM\u2019s staff are all based in New York but come from over 40 countries. For more information please visit OIM's website at This position is located in the Fixed Income Team of OIM. The incumbent reports to the Senior Investment Officer for Credit.

ResponsibilitiesUnder the overall supervision of the Director of Fixed Income, the incumbent will perform the following duties: 1. Assists the Senior Investment Officer Credit (SIO) in conducting fundamental credit research for the corporate and/or government related bond portfolios. a. Contribute to achieving long-term and short-term performance objectives to outperform return benchmarks. b. Monitors the various portfolio holdings and conduct appropriate security analysis at the direction of the SIO credit. c. Complies with risk control parameters as delineated in the investments Policy and Procedures Manual with a goal to produce the optimal investment return that avoids undue risk. d. Integrates Principles of Responsible Investments into investment analysis and monitor both internally and externally managed holdings, subject to OIM's standards of fiduciary responsibility to the Fund. e. Conducts sector reviews periodically and presents in the Portfolio Review Meeting. f. Conducts analysis using risk tools and analytical tools. 2. Conducts careful and thorough investment research: a. Performs fundamental credit analysis of issuers across assigned industry sectors. b. Prepares credit research reports and investment memos for portfolio managers and other internal clients. c. Build and maintain financial models for corporate issuers under coverage; ensure that the analyst\u2019s financial forecasts are updated on a regular basis. d. Participate in management calls, meetings and sector conferences. e. Analysis of ETFs, interest rates, capital structures, and corporate ESG data and conducts security and sector analysis using risk tool and analytical tools. e. Assists in evaluating the performance of the Fund's research providers and vendors. This includes, assisting in conducting due diligence, analysis, monitoring and appraise performance of external managers to be employed or employed by fixed income. f. Supports the implementation of the OIM derivative projects. 3. Makes specific investment recommendations a. Ensures Fund\u2019s four investments criteria; i.e. safety, profitability, liquidity, and convertibility, b. Makes specific investment recommendations to achieve optimum investment performance with carefully review of the portfolio\u2019s investment objectives and risk tolerance, c. Presents and discusses investment recommendations to SIO as well as wider fixed income department where appropriate, d. Participates in the discussions and development of investment recommendations for asset allocation for the Fund. 4. Reporting a. Assists in the preparation of reports accurately and timely to the Representative of the Secretary-General for the Investments of the UNJSPF and Director of Fixed Income when requested. b. Assists the Director of Fixed Income in reporting on investments and related matters to governing bodies. c. Assists in the creation of reports with financial software to aid in analytics.

Competencies\u2022 Professionalism: Demonstrated ability and sound knowledge of investing in US Fixed Income Corporate and Government Related Securities; Must have an understanding and professional experience in analyzing corporate credit securities and issuers; Have demonstrated an understanding of the intricacies of the US credit market; Demonstrated an understanding of ESG considerations in credit and fixed income; Ability to conduct quantitative analysis and identify relative value opportunities; Strong written and oral communications skills; Ability to work under pressure accurately, efficiently and effectively; Having the highest level of integrity; Shows pride in work and in achievements; demonstrates professional competence and mastery of subject matter; is conscientious and efficient in meeting commitments, observing deadlines and achieving results; is motivated by professional rather than personal concerns; shows persistence when faced with difficult problems or challenges; remains calm in stressful situations. Takes responsibility for incorporating gender perspectives and ensuring the equal participation of women and men in all areas of work. \u2022 Accountability: Takes ownership of all responsibilities and honors commitments; Delivers outputs for which one has responsibility within prescribed time, cost and quality standards; Operates in compliance with organizational regulations and rules; Supports subordinates, provides oversight and takes responsibility for delegated assignments; Takes personal responsibility for his/her own shortcomings and those of the work unit, where applicable. \u2022 Teamwork: Works collaboratively with colleagues to achieve organizational goals; solicits input by genuinely valuing others\u2019 ideas and expertise; is willing to learn from others; places team agenda before personal agenda; supports and acts in accordance with final group decision, even when such decisions may not entirely reflect own position; shares credit for team accomplishments and accepts joint responsibility for team shortcomings.

EducationAdvanced university degree (Master's or equivalent) in Business and Administration (MBA), Finance, Economics or related field is required. A first degree level university degree in combination with two additional years of experience in investment management may be accepted in lieu of the advanced degree.

Job - Specific QualificationNot available.

Work ExperienceA minimum of five years of experience analyzing corporate securities including ESG considerations is required. Experience in US fixed income credit markets is required. Experience in trading US corporate bond exposures at a large pension fund, investment manager or insurance company is desirable. Experience in quantitative portfolio modeling is desirable. Experience in analysis of external managers is desirable.

LanguagesEnglish and French are the working languages of the United Nations Secretariat. For this job opening, English is required. The table below shows the minimum required level for each skill in these languages, according to the UN Language Framework (please consult for details).

Vacancy posted 1 day ago
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