Portfolio Manager (PM)
- Employer
- Global Sage Hong Kong
- Location
- Hong Kong, Hong Kong
- Salary
- Negotiable
- Closing date
- Aug 27, 2019
View more
- Job Function
- Other
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Role & responsibilities
- Portfolio management of funds with risk management profile and asset allocation
- Conduct research and product development on active risk & allocation strategies
- Development of portfolio management tools
- Regular reporting on investment strategies and portfolios
- Represent products and mandates to clients and prospects
Experience / Qualifications Required:
- Experience in portfolio management and investment research
- Excellent academic background with a quantitative focus (master or equivalent university degree in economics, finance, mathematics, physics, or related)
- Very good econometric, statistical, and financial modelling skills
- Experience and proven skills in multi-asset investing and strategy development
- CFA, CAIA, CEFA or CIIA
- Excellent IT skills (Matlab, VBA, SQL, MS office), other programming skills is a plus
- Fluent in English and Chinese
Other Criteria
- Excellent written and verbal communication skills and in-depth knowledge of Asian financial markets
- Entrepreneurial and organized personality with the ability to work in a demanding team-centred environment
- Excellent time management, prioritization and organizational skills
- Exceptional business acumen and ability to develop strong working relationships within the organization and senior management teams
- High integrity and ambitious
- Portfolio management of funds with risk management profile and asset allocation
- Conduct research and product development on active risk & allocation strategies
- Development of portfolio management tools
- Regular reporting on investment strategies and portfolios
- Represent products and mandates to clients and prospects
Experience / Qualifications Required:
- Experience in portfolio management and investment research
- Excellent academic background with a quantitative focus (master or equivalent university degree in economics, finance, mathematics, physics, or related)
- Very good econometric, statistical, and financial modelling skills
- Experience and proven skills in multi-asset investing and strategy development
- CFA, CAIA, CEFA or CIIA
- Excellent IT skills (Matlab, VBA, SQL, MS office), other programming skills is a plus
- Fluent in English and Chinese
Other Criteria
- Excellent written and verbal communication skills and in-depth knowledge of Asian financial markets
- Entrepreneurial and organized personality with the ability to work in a demanding team-centred environment
- Excellent time management, prioritization and organizational skills
- Exceptional business acumen and ability to develop strong working relationships within the organization and senior management teams
- High integrity and ambitious
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