Who are we?
Sanlam Investment Group
The Sanlam Investment Group is uniquely equipped and positioned to deliver on its purpose of empowering generations to be financially confident, secure and prosperous. Through our vast in-house expertise and strategic partner networks, we can access all asset classes across the globe, private and public, actively and passively managed, to develop investment solutions that are in our clients' best interests and have a positive impact on society. Backed by the Sanlam Group's balance sheet, the Sanlam Investment Group has a true competitive advantage in its ability to invest alongside clients, particularly in private markets where impact investing drives the agenda.
The Sanlam Investment Group is one of the largest, most diversified financial services and investment firms in Southern Africa with assets under management and administration of more than R2 trillion. It is a B-BBEE level 1 contributor and one of the largest black-empowered asset managers on the African continent.
Sanlam Alternative Investments (SAI)
The purpose Sanlam Alternative Investments (SAI) business is to help build the African continent and make a real sustainable difference in the emerging economies in which we operate in, aligning to the Sanlam Group's mission of financial inclusion. The SAI business has a broad range of capabilities that include Private Equity, Specialised Finance, Property, Infrastructure and Partnerships. Sanlam is the biggest non-banking financial institution on the continent, operating in Africa for over 100 years.
What will you do?
The Credit Portfolio Manager is responsible for formulating, implementing, and managing credit investment strategies across a broad range of fixed income assets in line with client mandates and investment objectives. The role involves comprehensive evaluation of opportunities across the full investable universe - including listed and unlisted credit, direct lending, private credit, money market instruments, structured credit, and preference shares. The manager must demonstrate strong market insight, rigorous investment analysis, and disciplined portfolio construction, while staying abreast of global and domestic credit trends. This role requires cross-functional collaboration, active stakeholder engagement, and a focus on growing assets under management and delivering superior risk-adjusted returns.
Responsibilities include:
1. Investment Strategy, Execution & Portfolio Management
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