Senior FOF Portfolio Manager

Job Responsibilities: Responsible for managing the investment and trading of global multi-asset allocation FOF (Fund of Funds). Track global macroeconomic trends and major asset class performance, select asset managers, and formulate comprehensive multi-asset FOF allocation strategies. Participate in roadshow presentations for key high-net-worth clients, introduce the company's financial product lines, and provide tailored financial product portfolio recommendations based on client risk toleranc

Unicorn Advisor (HK) Limited - Hong Kong - Full time

Salary: Competitive

Job Responsibilities:

  • Responsible for managing the investment and trading of global multi-asset allocation FOF (Fund of Funds).
  • Track global macroeconomic trends and major asset class performance, select asset managers, and formulate comprehensive multi-asset FOF allocation strategies.
  • Participate in roadshow presentations for key high-net-worth clients, introduce the company's financial product lines, and provide tailored financial product portfolio recommendations based on client risk tolerance, return preferences, and asset allocation needs.

Job Requirements:

  • Master's degree or above from a renowned university, in Finance, Economics, or a related field.
  • 10-15 years or more of work experience, including experience in FOF fund investment management.
  • Deep understanding of global major asset class investment analysis frameworks; familiarity with the investment characteristics and risk profiles of various financial products; thorough understanding of the financial market environment and client investment needs.
  • Excellent communication and collaboration skills, adept at teamwork. Strong ability to thrive under pressure and adapt effectively; capable of working independently and handling a demanding workload.

工作职责:

  • 负责管理全球多资产配置FOF基金的投资交易;
  • 对全球宏观经济及大类资产表现进行跟踪,对资产管理人进行遴选,并形成整体多资产FOF配置策略;
  • 参加重点高净值客户的路演活动,介绍公司的金融产品线,并根据客户风险、收益偏好和资产配置需求,为其提供金融产品组合建议.

岗位要求:

  • 知名大学硕士或以上学历,金融、经济等相关专业。
  • 10-15年或以上工作经验,需具备FOF基金投资管理工作经验;
  • 深度理解全球大类资产投资分析框架,熟悉各类金融产品投资特性和风险特性,对金融市场环境和客户投资需求有较深的理解。
  • 具备良好的沟通合作能力,善于团队协作。具有较强的抗压能力和适应能力,能够独立工作并承担一定的工作压力。
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