Job Summary:
As a Multi-Asset Solutions (Fund of Funds) Portfolio Manager within the Asset Management team, you will be responsible for portfolio construction and management of multi-asset strategies (Fund of Funds), formulation and implementation of product investment strategies, research and strategic / tactical asset allocation.
Job Responsibilities:
- Be responsible for portfolio construction and management of multi asset strategies (Fund of Funds), formulation and specific implementation of product investment strategies, investment vehicle research, and strategic/tactical asset allocation plans
- Track domestic and international macroeconomic policies and market trends, and promote research work related to major asset classes, strategy research, portfolio management, and fund evaluation
- Partner with Sales and Marketing teams to carry out marketing and investor engagement for Fund of Funds and portfolio related products
- Manage, coordinate and promote the development of Fund of Funds and related portfolio business
Required qualifications, capabilities, and skills
- A Master’s or Doctor degree in a quantitative discipline
- Demonstrated knowledge of financial markets, macro economics and multi asset investing; strong and quantifiable investment track record
- At least 5 years of experience in securities investment research, 3+ years in stock, bond or multi asset investment
- Demonstrate strong investment track record and consistent alpha generating capabilities
- Strong team player with great communication and relationship skills
- Strong compliance awareness. Demonstrated evidence of drive and determination coupled with a strong results-orientated work ethic and a natural inclination towards a team based collaborative environment is critical in this job
- Fulfilment of all necessary Asset Management Association of China (AMAC) licenses (or any other licenses / qualifications as required) for carrying out Asset Management and other regulated activities