Job-Überblick
3. September 2025
9. November 2025
Are you an experienced Portfolio Manager with deep expertise in the Swiss bond market and a passion for credit?
We are looking for a Senior Portfolio Manager to take a leading role in our CHF bond strategies — ensuring continuity of excellence, strengthening our credit franchise, and driving further growth. Join our dynamic team managing CHF 4bn in funds and mandates, where you will enhance our institutional track record, engage with Swiss-domiciled issuers, and help position our CHF products at the forefront of the market.
What Would Your Role Be
This is a rare chance to step into a senior role at the heart of the Swiss bond market. As part of a highly experienced and collaborative team managing CHF 4bn in funds and mandates, you will take a leading position in shaping our CHF bond strategies with a strong credit focus.
Why Vontobel?
At Vontobel, you are building better futures for our clients and society, as well as for yourself. As a family-owned and publicly listed company with over 2,000 professionals based in 28 locations globally and headquartered in Zurich, we’re committed to long-term thinking and sustainability.
Our diverse team values unique perspectives, and we hire individuals determined to deliver in a dynamic and changing world. Even if you don’t meet all the criteria, we encourage you to apply if you’re enthusiastic about the role.
Do you want to be Vontobel?
Thank you for applying to Vontobel. We will carefully review your application and will respond to you in a timely manner.
Aufgaben
- Ensure continuity of excellence and safeguard our top-tier institutional track record.
- Drive performance and innovation in CHF credit products, while strengthening our research and coverage of Swiss-domiciled issuers.
- Play a pivotal role in deepening our CHF franchise and aligning it with the broader Global & Swiss Bond (GSB) strategy.
- Increase the visibility of our CHF offering through client engagement, thought leadership, and market positioning.
- Contribute directly to the growth of our assets under management by expanding our capacity to meet client demand.
Profil / Ihre Qualifikation / Ihre Persönlichkeit:
- 5–10+ years of experience in CHF bond portfolio management, with a solid track record in institutional strategies.
- Strong expertise in credit analysis of Swiss-domiciled issuers, with ESG know-how considered an advantage.
- Good background in quantitative finance and macroeconomics.
- Excellent skills in using portfolio management IT systems and analytical tools.
- Strong presentation, communication, and client engagement skills, with an entrepreneurial spirit.
- Fluent in German and English; French or Italian is an advantage.
- Excellent Master’s degree in finance, economics, or related field; CFA or equivalent a plus.
Das erwartet Sie
- op Zurich location with collaboration spaces (including rooftop terraces) and free lunch.
- Friendly, diverse team in an open-office space with dancing walls.
- All the latest technology to help you excel and advance.
- Agile environment in how we think, the way we work and our trust for each other.
- Flat hierarchy with collaboration at all levels.
- Campus feeling and a collaborative spirit.
Bewerbung
We are looking for talented people, not just a CV that ticks all the boxes. Even if you do not meet every single requirement, if this role sounds like a good fit for you, we encourage you to apply.
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Standort
Gotthardstrasse 43, CH-8022 Zürich
Job vergeben:
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