Portfolio Manager, Fixed Income

ARM Holding Company Limited

Job Overview

Location

Ikoyi, Lagos, Nigeria

Salary

NGN 2,400,000 - 4,800,000 monthly

Employment Type

Full-time

Work Arrangement

On-site

Sector

Finance & Banking

Experience Level

Mid-level (3-5 years)

Application Deadline

March 21, 2026

About the Company

Asset & Resource Management Company Limited (ARM) is a distinguished asset management firm established in 1994. We specialize in creating wealth through a diverse range of services, encompassing traditional asset management and alternative investments via our private funds business. With total assets under management of approximately N540 billion, ARM has cultivated a robust reputation both domestically and internationally. Our success is built upon a foundation of in-depth, high-quality research, exceptional investment management expertise, and the delivery of value-adding products and services. We cater to a broad spectrum of clients, including corporations, private and public institutions, high-net-worth individuals, and small savers, consistently striving to meet their unique financial aspirations.

Job Description

ARM Holding Company Limited is seeking a skilled Portfolio Manager to join their esteemed team in Ikoyi, Lagos. This full-time role is crucial for contributing to the formulation of investment strategies, product development, and process improvements within the fixed income sector.

The successful candidate will be responsible for maintaining coverage of assigned research responsibilities, ensuring efficient trade execution, and managing portfolio administration and transaction processing. This position also involves supporting Junior Portfolio Managers and maintaining secondary responsibility for asset portfolios.

Key responsibilities include active contribution to investment strategy development and implementation, adherence to investment mandates, and preparation of client review reports. You will also be tasked with preparing strategy reports and presentations, conducting periodic return appraisals, and contributing to product development initiatives.

Furthermore, the role requires ongoing assessment of investible markets, asset classes, and securities, along with the formulation of views on economies and markets to guide investment decisions. Detailed financial, product, and trading analysis, including building valuation models, is also a core component of this position. Efficient trade execution and accurate posting of portfolio and transaction data are paramount.

To apply for this role, click the Apply button on this page and follow the instructions.

Required Skills

Investment StrategyPortfolio ManagementMarket ResearchFinancial AnalysisTrade ExecutionClient ReportingValuation ModelingAsset and Liability Management

Key Responsibilities

  • Contribute to the formulation of investment strategies, product development, and process improvement initiatives.
  • Maintain coverage of assigned research responsibilities.
  • Ensure efficient trade execution, portfolio administration, and transaction processing.
  • Support Junior Portfolio Managers and maintain secondary responsibility for asset portfolios.
  • Actively contribute to the development and implementation of strategies to improve the portfolio management function.
  • Implement agreed investment strategies and action plans, ensuring adherence to investment mandates and client profiles.
  • Prepare period-end portfolio review reports for clients.
  • Prepare strategy reports and presentations on a quarterly, half-yearly, and annual basis, or as required.
  • Actively participate in the preparation and delivery of client presentations.
  • Conduct periodic return appraisals for all portfolios.
  • Perform portfolio analysis, including optimization, index/benchmark, and asset class analysis.
  • Contribute to product development.
  • Conduct ongoing assessment of the universe of investible markets, asset classes, and securities.
  • Formulate and articulate views on economies, markets, and/or individual securities.
  • Perform detailed financial, product, and trading analysis and build valuation models.
  • Execute trades, including compilation and dissemination of approved portfolio trade orders to counterparties.
  • Ensure efficient and accurate posting of portfolio and transaction data.

Qualifications

  • Bachelor’s degree from an accredited university.
  • Professional certification in finance and/or accounting from a recognized professional body.
  • Minimum of 2-4 years of work experience in a similar role.
  • Experience in Asset and Liability Management is an added advantage.

How to Apply

To apply for this role, click the Apply button on this page and follow the instructions.

https://arm.seamlesshiring.com/job/view/8308#/

Posted Date

February 21, 2026

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