QNB3131 - Vice President Investment (PM/FM/Fixed Income)

  • Business Unit
    QNB - Qatar
  • Division
    Asset & Wealth Management
  • Department
    Asset & Wealth Management
  • Country
    Qatar
  • Closing Date
    31-Dec-2024
About QNB

Established in 1964 as the country’s first Qatari-owned commercial bank, QNB Group has steadily grown to become the largest bank in the Middle East and Africa (MEA) region.

QNB Group’s presence through its subsidiaries and associate companies extends to more than 31 countries across three continents providing a comprehensive range of advanced products and services. The total number of employees is more than 28,000 serving up to 20 million customers operating through 1,000 locations, with an ATM network of 4,300 machines.

QNB has maintained its position as one of the highest rated regional banks from leading credit rating agencies including Standard & Poor’s (A), Moody’s (Aa3) and Fitch (A+). The Bank has also been the recipient of many awards from leading international specialised financial publications.

Based on the Group’s consistent strong financial performance and its expanding international presence, QNB currently ranks as the most valuable bank brand in the Middle East and Africa, according to Brand Finance Magazine.

QNB Group has an active community support program and sponsors various social, educational and sporting events.

Job Summary

The Vice President of Investment (PM/FM, Fixed Income) is a senior leadership role responsible for overseeing and directing the QNB's fixed income investment strategies and operations. This position involves managing fixed income portfolios, developing fund management strategies, and ensuring alignment with the company's investment objectives. The role requires expertise in fixed income markets, strong analytical skills, and effective team leadership.

Main Responsibilities
  • Develop and implement the QNB's fixed income investment strategies in line with organizational goals and market conditions.

  • Provide strategic oversight and direction for the fixed income portfolio and fund management teams.

  • Oversee the management of fixed income portfolios, including interest rate risk management, credit analysis, and asset allocation.

  • Monitor and evaluate portfolio performance, making adjustments as necessary to achieve investment objectives.

  • Lead the development and oversight of fixed income funds, ensuring they meet performance benchmarks and regulatory requirements.

  • Develop and maintain relationships with institutional investors, ensuring client satisfaction and retention.

  • Manage, mentor, and develop a team of investment professionals, promoting a culture of excellence and continuous improvement.

  • Oversee hiring, training, and performance evaluation processes for team members.

  • Conduct comprehensive analysis of fixed income markets, including interest rate forecasts, credit risk assessments, and economic indicators.

  • Make informed investment decisions based on thorough research and quantitative analysis.

  • Ensure accurate and timely reporting of portfolio and fund performance to senior management and stakeholders.

  • Maintain compliance with regulatory standards and internal policies, and oversee audit processes as needed.

  • Represent the firm in interactions with investors, analysts, and industry professionals.

  • Attend industry conferences, client meetings, and other relevant events to promote the QNB's fixed income investment capabilities.

Education and Experience Requirements
  • Minimum of 10 -15 years of experience in fixed income investment management, with a strong focus on portfolio and fund management.

  • Demonstrated track record of managing substantial fixed income portfolios and achieving performance targets.

  • In-depth knowledge of fixed income markets, investment strategies, and regulatory requirements.

  • Strong leadership and management capabilities, with a proven ability to drive team performance and foster collaboration.

  • Advanced analytical and quantitative skills, including proficiency in fixed income modeling, risk management, and valuation techniques.

  • Excellent communication and interpersonal skills, with the ability to convey complex information effectively to various stakeholders.

  • Professional certification CFA (Chartered Financial Analyst (Level 3) is required.

  • Track record of managing Fixed Income portfolios or funds outside the MENA region.

Note: you will be required to attach the following:
  1. Resume/CV
  2. Copy of Passport or QID
  3. Copy of Education Certificate