JOBSEARCHER

Senior Portfolio Manager

BNPP AM is a leading global asset manager, leveraging the Group’s scale, stability, and expertise. We serve a diverse client base, including institutional investors, corporations, distribution partners, and retail clients worldwide. Our investment capabilities cover a broad range of asset classes, from traditional strategies like equities, fixed income, and multi-assets to alternatives such as real estate, infrastructure, private debt, and private equity. This allows us to tailor solutions to meet client objectives. With AXA IM’s integration, BNPP AM now ranks among Europe’s top asset managers, managing approximately €1.6 trillion in assets, with a focus on long-term savings and alternative strategies.Sustainability is central to our approach. We prioritize ESG and responsible investing to deliver sustainable, long-term performance while supporting environmental, social, and economic transitions. Adopting a pragmatic, long-term perspective, we aim to generate durable value for clients, employees, and the economy, backed by strong risk management and responsible finance principles. All figures are sourced from publicly available data as of September 2025Among the Leveraged Loans team managing €11bn of AuM through CLOs, dedicated and opened funds for international customers, the portfolio manager contributes to the investment selection in investments portfolios in collaboration with investment analysts, according to portfolio risk returns profiles. He is managing portfolios, mandates, and funds with a focus on liquidity, risk assessment and performanceYour missions:Market analysis with the support of Investment Analysts, quarterly forecasting sessions organisation tending to identify market trends, relative value and technicals. Portfolio model strategy identification and risk/return profile for investors (CLO, funds and mandates). Portfolio constructions, running hypothetical trades and orders in compliance with procedures. Assets sourcing and execution in primary and secondary markets, liaising with banks and private equity sponsors in line with established controls and proceduresParticipation and vote (if needed) to investment committees and team monitoring. Work in close collaboration with EUR team.Identification and implementation of tactical portfolio adjustments based on market conditions, liquidity considerations and relative value opportunities.Funds daily monitoring: assets, cash, prepayments, check of guidelines post trades with portfolio controllersReporting/ frequent communication on strategies/constraints/objectives/management performance of funds to ensure transparency and alignment between investments search and needs. Presentation of the performance of the funds and CLOs quarterly to Alt Credit management.In collaboration with the Business Development team, contribution to Marketing, fundraising and investor relations: marketing materials preparation, client meetings, RFP answers, regular and ad hoc reporting to internal and external stakeholders.Tools & Systems: in close collaboration with Transaction Support & IT, set-up and development of standardized management tools reliable (provider sourcing briefing, coding formula checks, tests)Support to team and other actions: internal and external reporting (for the management, the BU, Risk & Compliance), database updates.Risk and compliance standards pro-active interaction and checksAre you our next Senior PM Leveraged Loans?Strong credit analytical skills, accountancy knowledge, financial modelling forecast and financial valuationDeep knowledge of banking products and markets, as well as « satellite » investments supports such « satellites » (bonds, mezzanine, etc…) and of their « technicals »Mastering investment structure options and constraints (ie structured vehicles like CLOs vs opened funds)Experience in CLO management and loan fundsTeam spirit oriented / Active contribution to team developmentAbility to make decisions and convinceAutonomy and ability to be team playerInitiative drive while complying with processes and governanceFluent in 2 to 3 langagesCFA or CAIA would be a plusThe anticipated base salary range for this role is USD 170,000-215,000. Actual compensation will be determined based on skills, experience, qualifications and