- A reputable Chinese Insurance backed Asset Manager in hong kong
- Strategically expanding the team in Hong Kong
About Our Client The firm is a Hong Kong-based asset management platform with strong backing from leading Mainland Chinese and international financial institutions. It operates as a joint-venture manager with deep experience serving insurance capital and institutional clients, offering a broad range of investment strategies across fixed income, equities, and multi-asset solutions. The platform is well established within the Greater China ecosystem and plays a strategic role in channeling long-term capital offshore, leveraging strong governance, robust risk management, and close alignment with regulatory requirements in Hong Kong. Its investment approach emphasizes capital preservation, disciplined portfolio construction, and scalable solutions tailored to institutional and insurance-related mandates.
Job Description - Set the overall investment strategy and long-term vision across all asset classes, ensuring alignment with corporate goals and risk appetite.
- Partner closely with business development and distribution teams to provide market insights, support product positioning, and enhance client engagement.
- Lead the formulation of investment views and portfolio strategies across global fixed income, equities, and multi-asset mandates.
- Oversee strategic asset allocation, portfolio construction, risk budgeting, liquidity management, and ongoing portfolio rebalancing.
- Direct equity investment strategies, ensuring disciplined implementation, robust research processes, and effective risk management.
- Drive the development of quantitative strategies and ETF products, including systematic approaches, index design, and implementation frameworks.
- Champion investment research, analytics, and technology initiatives to enhance decision-making efficiency and scalability.
- Oversee trade execution to ensure best execution standards, operational efficiency, and full regulatory compliance.
- Integrate ESG considerations and climate risk into investment processes, ensuring reporting meets regulatory and client expectations.
- Ensure all investment activities adhere to Hong Kong regulatory requirements and internal governance standards.
- Build, lead, and develop a high-performing investment team, fostering a strong performance-driven and collaborative culture.
The Successful Applicant - Bachelor's degree in Finance, Economics, or a related discipline; Master's degree and/or CFA strongly preferred.
- Minimum 10 years of investment management experience, with at least 5 years in a senior leadership or managerial role.
- Proven track record managing significant AUM and delivering consistent, risk-adjusted performance across equities, fixed income, and multi-asset portfolios.
- Strong expertise in global fixed income, asset allocation, equities, and quantitative/systematic investment strategies, with ETF experience highly valued.
- Demonstrated experience in product development and working closely with distribution teams to commercialize investment solutions.
- Strong leadership capability with experience building, mentoring, and retaining high-calibre investment professionals.
- Deep understanding of Hong Kong asset management regulations and familiarity with international regulatory frameworks.
- Commercially minded, with experience contributing to client engagement, product innovation, and AUM growth initiatives.
- Excellent communication and presentation skills, with the ability to articulate complex investment concepts clearly to senior stakeholders.
- Fluent in English and Chinese; proficiency in Cantonese and Mandarin required.
What's on Offer - a leadership role
- strategically expanding team in Hong Kong
- compeitive compensation structure