Areas of Responsibility
-Set Investment policies and Investment strategies to achieve corporate objectives
-Recommend asset allocation (SAA) to achieve return and risk targets
-Recommend external mandates: select external funds, monitor and evaluate performance
-Overall oversight of portfolio risk and cash flow planning
-Provide sound recommendation on portfolio constructions, taking into account appropriate assets universe and strategic asset allocation for different objectives and needs.
-Monitor investments and escalate investment issues, evolving market risks and portfolio issues, when necessary and on a timely basis.
-Manage Middle and Back office
Job Requirements
-Good Honors degree in Accounting / Finance or related disciplines from leading universities; professional qualification CFA, CAIA, etc. or MBA highly regarded;
-Minimum of 15 years of relevant experience as a global investment manager of reputable buy-side firms.
-Good understanding of strategic asset class allocation, with deeper knowledge in at least one asset class and ability to construct an appropriate portfolio taking into account clients unique circumstances and needs.
-Experience in sourcing, evaluating, recommending and monitoring external managers.
-A good communicator who can convey ideas in a clear and concise manner, and able to relate to the stakeholders.
-Positive, self-driven, versatile and results oriented with a rigorous approach to tasks assigned
-Team player with integrity, able to work independently and coordinate across team from various departments/entities.
-Being systematic and ability to manage teams in middle and back office