Strategic Credit Investment Manager, Boston

1 week ago


Boston, Massachusetts, United States Wellington Management Company, LLP Full time

About Wellington Management Company, LLP

Compensation and Benefits

The base salary range for this position is: USD 100,000 - 225,000.

This compensation package also includes discretionary bonuses and incentives, as well as a comprehensive benefits program that meets the unique needs of our employees and their families. Some of the benefits include:

  • Retirement plan
  • Health and wellbeing, dental, vision, and pharmacy coverage
  • Flexible spending accounts and commuter program
  • Employee assistance program
  • Life and disability insurance
  • Adoption assistance
  • Back-up childcare
  • Tuition/CFA reimbursement

We strive to pay employees fairly and competitively across all levels and roles, considering factors such as skill sets, role, skills and experience, certifications, and education.

About the Role

We are seeking an experienced credit portfolio manager to join our Investment Grade Credit team in Boston. The ideal candidate will have deep credit expertise and a demonstrated track record of managing investment grade credit portfolios.

The successful candidate will enjoy being an individual contributor within a highly collaborative team, building strong trusting relationships with other portfolio managers, credit analysts, traders, risk managers, product managers, and client-facing personnel.

The Portfolio Manager will develop and execute investment strategies that drive performance in our credit only FI approaches, which include intermediate, full maturity, and long duration approaches.

Essential Skills and Qualifications

The following essential skills and qualifications are required for the role:

  • Investment acumen and track record: The Portfolio Manager will have a fundamental research-oriented bottom-up approach, supported by a strong investment philosophy and process.
  • Superior collaboration skills: The successful candidate will enjoy being an individual contributor within a highly collaborative team and build strong trusting relationships internally.
  • Growth mindset: The flexibility and openness to continue learning, evolving, and growing as an investor are required.

Additional qualifications and characteristics include:

  • Minimum 10+ years of experience in an investment role with a proven track record as a credit portfolio manager, experience in Liability Driven Investing (LDI), and a book of business growth.
  • Independence of thought, intellectual curiosity, and an entrepreneurial nature.
  • Strong presentation skills to communicate investment decisions and strategies to clients and colleagues.
  • Strong quantitative skills and willingness to embrace technology.
  • Undergraduate degree with a strong academic record; MBA/CFA preferred.


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