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Manager Convertible Bonds Jobs in Texas (NOW HIRING)

You will manage and mentor one direct report, driving a culture of continuous improvement, rigorous ... Equity (Convertible Bonds, Accelerated Share Repurchases), and Consolidations. * Complex ...

You will manage and mentor one direct report, driving a culture of continuous improvement, rigorous ... Equity (Convertible Bonds, Accelerated Share Repurchases), and Consolidations. * Complex ...

You will manage and mentor one direct report, driving a culture of continuous improvement, rigorous ... Equity (Convertible Bonds, Accelerated Share Repurchases), and Consolidations. * Complex ...

Manager Convertible Bonds information

What are the key skills and qualifications needed to thrive as a Manager Convertible Bonds?

To excel as a Manager Convertible Bonds, you need a strong background in finance, quantitative analysis, and in-depth knowledge of fixed income and equity markets, typically supported by a degree in finance or related fields. Familiarity with financial modeling tools, Bloomberg Terminal, and relevant certifications such as CFA are commonly required. Excellent analytical thinking, strong communication, and decision-making skills help you navigate complex investment scenarios and lead teams effectively. These skills are crucial for successfully managing convertible bond portfolios, mitigating risks, and delivering consistent returns for clients.

What are some common challenges faced by a Manager Convertible Bonds, and how can they be effectively addressed?

A Manager Convertible Bonds often navigates complex market dynamics, including fluctuating interest rates and equity market volatility, which can impact the valuation and risk profile of convertible bond portfolios. Staying updated on both credit and equity market trends is essential, as is employing robust risk management tools to hedge exposures. Close collaboration with research analysts, traders, and portfolio managers is key to making informed investment decisions and responding quickly to market shifts. Developing strong analytical skills and maintaining open communication within the team can help effectively address these challenges.

What is the difference between Manager Convertible Bonds vs Bond Analyst?

AspectManager Convertible BondsBond Analyst
CredentialsFinance degree, certifications like CFA often preferredFinance or related degree, CFA beneficial
Work EnvironmentTeam management, strategic decision-makingResearch, analysis, reporting
Employer & IndustryInvestment firms, banks, asset managementFinancial institutions, investment firms

While both roles require finance knowledge and certifications like CFA, a Manager Convertible Bonds oversees bond portfolios and manages teams, focusing on strategy. A Bond Analyst conducts detailed research and analysis of bonds, providing recommendations. The Manager role is more strategic and managerial, whereas the Bond Analyst is more analytical and research-focused.

What are the most commonly searched types of Convertible Bonds jobs in Texas?

The most popular types of Convertible Bonds jobs in Texas are:

What are popular job titles related to Manager Convertible Bonds jobs in Texas?

For Manager Convertible Bonds jobs in Texas, the most frequently searched job titles are:

What job categories do people searching Manager Convertible Bonds jobs in Texas look for?

The top searched job categories for Manager Convertible Bonds jobs in Texas are:

Infographic showing various Manager Convertible Bonds job openings in Texas as of August 2026, with employment types broken down into 100% Full Time. Highlights an 47% In-person, 26% Hybrid, and 27% Remote job distribution.

Trader permanent position at Dallas, TX

MIT RESOURCE

Dallas, TX • On-site

Full-time

Re-posted 11 days ago


Job description

Company Description

Maganti IT Resources LLC

Job Description

Title: Trader

Location: Dallas, TX

Type: Permanent


Job description:

Working closely with Boston-based convertible team this position is responsible, under direction, for executing global convertible bond trades authorized by portfolio managers or senior traders. 


Job requirement:


REPORTING RELATIONSHIP: Reports directly to Senior Trader.

Primarily responsible for global convertible bond trading (includes some off-hour and holiday trading of overseas markets) as well as trading in other asset classes (equities, derivatives, fixed income), as needed 

Managing positions via contracts for difference (CFD) and total return swaps (TRS) 

Sourcing and monitoring borrow 

Effectively managing sell-side trading relationships 

Assisting with trade origination and trade settlement 

Monitoring position data for accuracy and compliance

*$10k of the bonus is restricted stock options 

Identifying procedural deficiencies then working to resolve them 

Reading, analyzing and interpreting relevant periodicals, professional journals, or technical procedures 

Writing reports and business correspondence 

Effectively presenting information and respond to questions 

Solving practical problems and dealing with a variety of concrete variables in situations where only limited standardization exists 

Interpreting a variety of instructions furnished in written, oral, diagram or schedule form 

Detail-oriented, thorough; does not make errors


Required qualification: 

Bachelor's Degree (BA) from four-year College or university, plus 3-5 years trading convertible securities required 

Experience in settlement of global securities, particularly convertible bonds, equities, and derivatives (CFD, TRS, options, futures, etc.) 

Advanced proficiency with Bloomberg, Kynex, and Excel 

Familiar with order management systems and desktop trading platforms 

Willingness to travel during the on boarding process is required; this will take up less than 25% of the person's time 


Other asset classes (equities, fixed income, derivatives) trading experience



Qualifications

equired qualification: 


Bachelor's Degree (BA) from four-year College or university, plus 3-5 years trading convertible securities required 


Experience in settlement of global securities, particularly convertible bonds, equities, and derivatives (CFD, TRS, options, futures, etc.) 


Advanced proficiency with Bloomberg, Kynex, and Excel 


Familiar with order management systems and desktop trading platforms 


Willingness to travel during the on boarding process is required; this will take up less than 25% of the person's time 




Other asset classes (equities, fixed income, derivatives) trading experience



Additional Information

Please help pass along to colleagues or associates below position who are looking for new role if you are not available.


For further details contact me at 




chaitanya (at) mitresource (dot) com





Thank you for your time.