Portfolio Manager
Meeder Investment Management
Meeder Investment Management Job Opportunity
Meeder Investment Management is an employee-owned firm that has helped clients successfully reach their financial goals since 1974. Located in Dublin, Ohio, Meeder has over 100 professionals dedicated to serving the financial needs of individuals, corporations, and government entities, with over $25 billion in assets under management, advisement, and administration. Meeder associates enjoy a dynamic working environment that is built on our five core values: Integrity, Passion, Discipline, Excellence, and Results. To foster these core values, we look for candidates who are team-oriented, resourceful, and energetic and want to make an impact on a thriving firm.
Meeder has been managing short and intermediate term fixed income public sector portfolios for over 30 years, serving more than 350 public entities across the country. The short term and fixed income portfolios including money market funds, local government investment pools (LGIPS) to customized separately managed account solutions. Our team works with operating funds, bond proceeds, insurance and capital reserves, and other funds to structure portfolios to meet client objectives.
Primary Responsibilities
- Manage portfolios consistently across accounts while balancing unique objectives for each client (primarily yield, income driven passively managed).
- Participate in investment strategy discussions and assist in the development of portfolio strategies spanning LGIP's, Money Market Funds, and the separately managed account landscape.
- Source, analyze, trade and monitor individual securities in the municipal, corporate, and government sectors, based upon the analysis of macro-economic factors and sector fundamentals as they affect the level of interest rates and the relative value among fixed income sectors.
- Contribute to Meeder Public Funds overall fixed income strategy.
- Maintain Broker Dealer relationships to ensure proper coverage and best execution in fixed income.
- Perform credit analysis on a set of corporate issuers or sectors (approximately 10% of time spent).
- Be a member of and expected to contribute to the oversight of credit exposure as a representative on the credit committee.
Critical Success Factors
- Fiduciary and client-oriented mindset
- Extensive knowledge of financial markets/instruments/regulations, economic theories and relationships, valuation tools, etc. particularly as it relates to fixed income investing
- Strong organizational and time management skills to effectively manage over 75 fixed income portfolios
- Excellent communication skills and ability to work with other team members toward a common goal
- Flexibility and adaptability to a dynamic environment within a growing firm
- High level of integrity and strong ethical standards
Skills Required
- Bachelor's degree required in business administration with emphasis in accounting, finance, or related field.
- Progress toward the CFA, CMT, or similar designation preferred.
- Proficiency in, Bloomberg, Charles River, MarketAxess, and other research/data compilation tools.
- Advanced knowledge of Microsoft Office products.
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