about the company
Asset/Fund Management Firm with CMS License
about the job
...
A Portfolio Manager is responsible for managing a collection of investments, such as stocks, bonds, real estate, or other assets, to achieve the financial goals of their clients or organisation. The role involves making strategic decisions about asset allocation, risk management, and investment selection to optimise returns.
Key Responsibilities:
Investment Strategy Development:
- Develop and implement investment strategies based on client goals, risk tolerance, and market conditions.
- Conduct thorough research and analysis to identify investment opportunities.
Portfolio Management:
- Manage and monitor a portfolio of investments, including buying, selling, and holding assets as necessary.
- Adjust portfolios based on performance metrics, market conditions, and changes in client objectives.
Risk Management:
- Assess and manage risks associated with investment decisions.
- Implement strategies to mitigate potential losses and enhance portfolio stability.
about the manager/team
You will be working with a highly committed team who treat this career as entrepreneurs.
skills and experience required
Minimum 10 years of EXPERIENCE in macro investing with proven results as a
Portfolio Manager with the ability to tide different cycles.
- Equipped with excellent financial product knowledge, strong analytical skills and
the ability to interpret complex financial data to make informed investment
decisions.
- Ability to communicate effectively. Able to PRESENT and PERSUADE prospects
and key stakeholders through a carefully constructed argument.
To apply online please use the 'apply' function, alternatively you may contact Dylan Lee at 9138 3356.
(EA: 94C3609/R2091898)