JOIN US
Portfolio Manager (Not China market focus)
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Responsibilities:
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Develop Short to medium length investment strategy in response to the dynamic market sentiment and exogenous factors in relation to various industry sectors
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Conduct fundamental research and produce investment research report/ recommendation for both internal and external investment advisory consumption
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Analyze financial information, industry data and economic statistics to work in collaboration with other portfolio managers on asset allocation, risk appetites adjusted strategy and macro-micro strategic
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Requirements:
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Bachelor's Degree holder or above in Economics, Finance, Accounting or related fields
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CPA, CFA holder will be a plus
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With 3-5 years’ on commercial analysis / asset management working experience in business analysis field in banking/insurance/financial industry
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Strong business acumen is a must
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Strong analytical, interpersonal, presentation and leadership skills
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Good command of written & spoken English and Chinese (including Putonghua)
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