Job Description:
We are seeking an experienced and knowledgeable Fund Manager to lead investment strategy development and portfolio management for China and global markets. The ideal candidate will possess a solid foundation in fund management, including expertise in multi-asset selection, portfolio construction, and risk management. This role requires regular interaction with stakeholders in our Chinese headquarters, necessitating fluency in Mandarin for effective communication.
Key Responsibilities:
- Research and Analysis for Investment Strategy and Asset Allocation: Develop and implement investment strategies for China and global markets based on in-depth research and analysis.
Evaluate key market trends and insights to inform asset allocation decisions.
- Multi-Asset Selection: Select and manage a variety of asset classes, including stocks, bonds, mutual funds, options, derivatives, and structured deposits.
- Portfolio Construction, Review & Rebalancing: Construct, monitor, and rebalance portfolios, aligning with the Chinese market hours and client objectives.
- Risk Management & Performance Monitoring:Conduct ongoing risk management and performance analysis, ensuring alignment with clients’ risk profiles.
- Order Placement for Fund Management:Execute orders for various financial instruments, including stocks, bonds, mutual funds, options, derivatives, and structured deposits.
- Client Interaction with High Net Worth (HNW) Clients: Meet with HNW clients, including Singapore resident clients, to understand their investment goals and risk tolerance.
Communicate managed investment strategies and portfolio performance provided by Discretionary Portfolio Management (DPM) and other funds.
Qualifications:
- A minimum of 10 years of work experience, with at least 4-6 years in fund management, ideally within private banking, asset management, or fund houses.
- Proven track record in portfolio management, with strong expertise in financial instruments and market dynamics.
- Proficiency in portfolio management tools, such as Bloomberg.
- Strong analytical skills, with the ability to interpret complex financial data for sound investment decision-making.
- Commitment to risk management with an adaptable approach in a dynamic environment.
- Proficiency in written and spoken English and Mandarin, enabling close collaboration with Chinese stakeholders in our China office.