Portfolio Manager – Credit

Reposted 5 Days Ago
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New York, NY, USA
In-Office
175K-250K Annually
Expert/Leader
Fintech
The Role
The Credit Portfolio Manager is responsible for managing a global credit portfolio, participating in investment discussions, providing market insights, and representing the firm in client engagements.
Summary Generated by Built In

Who You’ll Work With: 

We are seeking a seasoned and forward-thinking Credit Portfolio Manager to join our Global Credit platform. The ideal candidate will bring extensive credit market expertise, contribute to investment strategy formulation, and engage meaningfully with clients and consultants. This is a highly visible role that reports directly to the Head of Credit and offers the opportunity to influence multi-billion-dollar portfolios within one of the most sophisticated fixed income platforms globally. 

What You’ll Do: 

  • Serve as a Portfolio Manager within AB’s Global Credit platform. 

  • Actively participate in investment committee discussions across investment-grade and high-yield markets. 

  • Provide market insights, portfolio strategy perspectives, and thought leadership to internal and external stakeholders. 

  • Represent AB’s Credit platform in client meetings, industry conferences, and consultant engagements. 

  • Develop and present market commentary, portfolio updates, and investment outlooks. 

  • Leverage both quantitative models and fundamental credit research to enhance portfolio construction and risk management. 

What We’re Looking For: 

  • 10+ years of experience in credit investing, preferably with exposure to leveraged finance or multi-sector credit. 

  • Demonstrated credibility and relationships with institutional clients and consultants. 

  • Exceptional communication and presentation skills, with the ability to translate complex market dynamics into actionable insights. 

  • A collaborative mindset, thriving within a global, multi-disciplinary investment environment. 

  • Intellectual curiosity, analytical rigor, and a deep passion for markets. 


About AB  

We are a leading global investment management firm offering high-quality research and diversified investment services to institutional clients, retail investors, and private-wealth clients in major markets around the globe. With over 4,000 employees across 57 locations operating in 26 countries and jurisdictions, our ambition is simple: to be the most trusted investment firm in the world. We realize that it's our people who give us a competitive advantage and drive success in the market, and our goal is to create an inclusive culture that rewards hard work.  


Our culture of intellectual curiosity and collaboration creates an environment where you can thrive and do your best work. Whether you're producing thought-provoking research, identifying compelling investment opportunities, infusing new technologies into our business or providing thoughtful advice to our clients, we are fully invested in you. If you're ready to challenge your limits and empower your career, join us! 

In accordance with applicable law, the minimum and maximum base annual salary for this role is as follows:

Base Salary Range: $175,000-$250,000

Actual base salaries may vary based on factors including but not limited to education, training, experience, past performance, and other job-related factors. Base salary is just one component of total compensation at AB, which may include, depending on eligibility, commissions, year-end incentive compensation, short- and long-term incentives and Department-specific awards. In addition AB provides a variety of benefits to eligible employees, including health insurance coverage, an employee wellness program, life and disability insurance, a retirement savings plan, paid holidays, sick and vacation time off

New York, New York

Top Skills

Credit Market Expertise
Fundamental Credit Research
Quantitative Models
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The Company
Nashville, TN
4,847 Employees
Year Founded: 1967

What We Do

AllianceBernstein (AB) is a leading global investment management firm that offers high-quality research and diversified investment services to institutional investors, individuals, and private wealth clients in major world markets. We are one of the largest investment management firms in the world, with more than $500 billion in assets under management. We foster a diverse, connected, collaborative culture that encourages different ways of thinking and differentiated insights. We embrace innovation to address increasingly complex investing challenges. And we pursue responsibility at all levels of the firm—from how we work and act to the solutions we design for clients.

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