Description :
Our client is a leading fund manager, in the midst of strong trading conditions. As a result of some recent change they need to appoint an experienced Portfolio Manager to control their Asian market. Specifically you shall be involved in a range of tasks, such as -
- Creating a framework for active decision-making
- conducting analysis and assessment of relevant macro and micro information on different levels such as stocks, sectors, industries, countries, regions and styles
- actively cooperate with internal and external research departments
- Structuring and maintenance of dedicated portfolios (funds and mandates)
- Cash and forex management
- Compliance with investment guidelines and restrictions
- Implementation of tactical and strategic investment decisions
- Participation in the process of equity tactics and strategies
- Providing inputs on sector, country, region and style level for equity strategy meetings
- Providing investment ideas on stock level
It is expected that you shall be a graduate (ideally in finance or a CFA or AZEK), with at least 3ys experience in the Asian markets (either portfolio management/research at a financial institution or bank), be fluent in English. |