VP/AVP Client Portfolio Manager - Asian Equities

Credit Suisse -
Hong Kong, Hong Kong
Jul 19, 2019
Jul 25, 2019
Job Function
Industry Sector
Finance - General
Employment Type
Full Time
We Offer
  • A challenging position in a fast growing Asian equities and fixed income team focusing on coordinating Asian equity funds/portfolios related communication with private bank/external clients or prospects.
  • Prepare and update various representation and marketing materials for client review meetings and pitching purposes.
  • Play a coordination role for roadshows and marketing meetings for PMs.
  • Build trustful relationships with all involved parties and act as the internal subject matter expert where relevant.
  • Ensure high quality of service and organize timely responses to client or prospect queries.
  • Support the sales efforts of our various internal and distribution channels.
  • Direct client contact including pitching - personal sales efforts are requested.
  • Attend and contribute to equity portfolio managers' regular strategy meetings in order to fully understand portfolio positioning and market views.
  • Participate in the risk analysis of respective portfolios and monitoring process.
  • Conduct ongoing research to track key competitors, market trends and threats.
  • Look for and feedback new business opportunities within Asian equities.

You Offer

  • You have minimum 5 years of experience in Asian equities as a product specialist or a similar role.
  • Strong equity asset class, strategy and market knowledge is required.
  • Prior direct Asian/China equities investment experience is an advantage.
  • You have exceptional communication and interpersonal skills with the ability to build strong collaborative relationships with team members, partners and our clients.
  • You have experience in dealing with sophisticated clients.
  • You have good relationships with private banks, external clients, and distribution channels.
  • Be a standout colleague and embrace a collaborative and open working culture.
  • You have the ability to work under pressure and tight timelines.
  • You have relevant academic background with preferably a Master's degree in Business, Finance or a quantitative discipline.
  • CFA, FRM and/or CAIA designations are highly desirable.
  • You have robust analytical skills and a deep understanding of performance and risk metrics.
  • You have strong work ethic and the highest degree of honesty and integrity.
  • You have excellent written and verbal communication skills in English, and Mandarin.
  • You have deep knowledge of MS office applications (PowerPoint, Excel) and Bloomberg.


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