Find Jobs
Find Jobs Near You – Available Work in Your Location
Skip to job details
PL
Pacific Life Insurance Company
Junior Portfolio Manager
Career Insights for Investment Fund Manager
See where this job fits in the broader career landscape. Knowing your career path helps you see what's possible from here.
Scorecard
Based on California data
Review key factors to help you decide if this role fits your goals. How is this calculated?
What they do
An Investment Fund Manager plans, directs, or coordinates investment strategy or operations for a large pool of liquid assets supplied by institutional investors or individual investors.
$175,547 / year median in California
+8% projected growth
Job Description
Junior Portfolio Manager Pacific Life Insurance Company
- 3.7 Newport Beach, CA Job Details Full-time $152,010
- $185,790 a year 16 hours ago Benefits Paid parental leave Paid holidays Health insurance Dental insurance Paid time off Adoption assistance Parental leave Vision insurance 401(k) matching Benefits from day one Life insurance Qualifications Statistics Statistics Portfolio performance analysis Market analysis Portfolio performance measurement Statistical analysis Math Bachelor's degree Financial markets data analysis
Full Job Description Job Description:
Providing for loved ones, planning rewarding retirements, saving enough for whatever lies ahead- our policyholders count on us to be there when it matters most. It's a big ask, but it's one that we have the power to deliver when we work together. We collaborate and innovate
- pushing one another to transform not just Pacific Life, but the entire industry for the better. Why? Because it's the right thing to do. Pacific Life is more than a job, it's a career with purpose. It's a career where you have the support, balance, and resources to make a positive impact on the future
- including your own.
The experience you bring:
Minimum of 5 years of experience portfolio management, trading, risk management, or a related analytical role within capital markets. Strong understanding of fixed income markets, portfolio construction principles, mathematical and statistical principals, and risk management concepts. Experience supporting portfolio management activities through market analysis, portfolio monitoring, risk assessment, and investment implementation. Excellent communication skills, with the ability to clearly present investment views, portfolio insights and market developments across the organization. Highly organized, detail-oriented, and capable of managing multiple priorities in a fast-paced environment. Bachelor's degree in Finance, Mathematics, Economics, or a related field; advanced degree or CFA designation or progress toward the CFA is preferred.What makes you stand out:
Direct experience within the investment grade credit market #LI-AJ1Base Pay Range:
The base pay range noted represents the company's good faith minimum and maximum range for this role at the time of posting. The actual compensation offered to a candidate will be dependent upon several factors, including but not limited to experience, qualifications and geographic location. Also, most employees are eligible for additional incentive pay. $152,010.00- $185,790.