Senior Portfolio Manager (m/f/x) - 80-100%
Lausanne
Key information
- Publication date:03 September 2025
- Workload:80 – 100%
- Place of work:Lausanne
Job summary
Vaudoise, a leading Swiss insurer, fosters a progressive work environment. Join us for a healthy, inclusive workplace that values talent development.
Tasks
- Manage multiple Fixed Income portfolios for Vaudoise Group.
- Analyze economic data to shape strategic proposals effectively.
- Participate in treasury management and risk control initiatives.
Skills
- At least 10 years of experience in a similar role required.
- Strong knowledge of financial markets and instruments essential.
- Excellent communication skills and client-oriented approach needed.
Is this helpful?
A solid and forward-looking employer, Vaudoise is one of the leading insurers in Switzerland. True to its cooperative nature and values, it encourages the creation of a healthy, inclusive, and inspiring work environment, ideal for developing your talent.
Within Vaudoise, the Asset Management department has managed the Group's proprietary investments for many years. To strengthen our team, we are looking for a Senior Portfolio Manager (m/f/x) between 80 and 100% to lead the implementation of the interest rate strategy.
As a Senior Portfolio Manager you are responsible for managing several Fixed Income portfolios of the Vaudoise Assurances Group (Bonds and Loans to private and public entities) as well as credit analysis for a limited number of Swiss issuers.
Additionally, you are involved in managing the Group's treasury and derivative programs.
Your tasks include:
- Analyzing economic and political data to formulate strategic proposals and adjust the Fixed Income strategy accordingly.
- Participating in the development of Fixed Income budgets within the framework of strategic asset allocation and investment budget and ensuring their compliance.
- Making recommendations aimed at optimizing the risk/return ratio.
- Actively participating in interest rate risk management from an ALM perspective.
Your profile:
- You have at least 10 years of experience in an equivalent position and overall experience in financial markets.
- Holder of a higher-level diploma in finance or an equivalent qualification.
- Very good knowledge of interest rate, currency, equity, and derivative markets.
- Mastery of insurance sector specifics, including SST, ALM, straight-line amortization, and accounting standards.
- Proven experience with stock exchange operations, as well as middle and back office activities.
- Mastery of operational, administrative, and tax aspects related to the management of bonds, equities, derivatives, and treasury.
- Good understanding of cash flows in insurance for optimized liquidity management.
You communicate clearly and efficiently, both in writing and orally, and you act as a resource person for your colleagues. Autonomous, rigorous, and results-oriented, you represent the company in professional networks. With a strong client orientation, you develop relevant recommendations, monitor key indicators, and ensure the proper conduct of projects, managing budgets, risks, and deadlines.
We offer you:
- A healthy work environment in a mutual company labeled "Best Employer"
- Multiple social benefits, including flexibility in work organization
- Human values focused on employee well-being
- Support in development and training
We look forward to receiving your complete application file digitally (including CV, cover letter, copies of work certificates, and diplomas).