Investment Manager
• Job Title: Investment Manager
• Department: Investment Department / Asset Management
• Reports To: Investment Director / Chief Investment Officer
• Employment Type: Full-time
Position OverviewResponsible for managing and executing
investment portfolio strategies, conducting market analysis, and making
investment decisions to achieve long-term sustainable growth for client or
company assets. Ensure achievement of investment objectives through professional
investment analysis and risk management.
• Conduct in-depth market
research and industry analysis to identify investment opportunities
• Analyze investment value of
various financial products (equities, bonds, funds, alternative investments,
etc.)
• Develop and execute investment
strategies, construct and optimize investment portfolios
• Perform financial modeling and
valuation analysis to support investment decisions
Management
• Monitor and manage performance
of existing investment portfolios
• Conduct regular portfolio
rebalancing and adjustments
• Execute buy/sell trading orders
ensuring timeliness and accuracy
• Track investment performance
and analyze return and risk metrics
• Identify, assess, and monitor
investment risks
• Develop risk control measures
and contingency plans
• Ensure investment activities
comply with risk management policies and regulatory requirements
• Conduct regular stress testing
and scenario analysis
Communication
• Maintain regular communication
with clients to understand investment needs and objectives
• Prepare and present investment
reports and market analysis
• Address client inquiries
regarding investment strategies and market dynamics
• Participate in client meetings
and investment committee meetings
• Write investment research
reports and market commentary
• Track macroeconomic indicators
and market trends
• Attend industry conferences and
investor events
• Maintain and update investment
databases
• Bachelor’s degree or above in
Finance, Economics, Accounting, Mathematics, or related field
• Professional certifications
such as CFA, FRM, CPA preferred
• 3-5 years of experience in
investment management, securities analysis, or related financial industry
• Practical experience in
portfolio management or asset management
• Familiarity with various
financial markets and investment instruments
• Proficient in financial
analysis and investment valuation methods
• Skilled in using Bloomberg,
Wind, Excel, Python/R and other analytical tools
• Excellent data analysis and
modeling capabilities
• Knowledge of derivatives and
alternative investment products
• Sharp market insight and
judgment
• Excellent communication and
client service skills
• Ability to work under pressure
with strong stress management
• Integrity and high professional
ethics
• Strong teamwork and learning
ability
• Fluent in Chinese
(Mandarin/Cantonese)
• Good English reading and
writing skills, able to read English research reports
• Competitive base salary
• Performance bonus and year-end
bonus
• Comprehensive medical insurance
and retirement plan
• Professional training and
development opportunities
• Annual leave and other
statutory holidays
• Clear promotion path:
Investment Manager → Senior Investment Manager → Investment Director
• Regular professional training
and certification support
• Participation in high-end
investment conferences and industry exchange opportunities
• Cross-departmental rotation and
international exchange programs
• Modern office environment
equipped with advanced investment analysis systems
• Flexible working hours
arrangement
• Open team culture and learning
atmosphere
• Portfolio performance
vs. benchmark
• Risk-adjusted returns (Sharpe
ratio, Alpha generation)
• Client satisfaction and
retention rates
• Compliance with risk management
guidelines
• Quality and timeliness of
investment research
Competencies
• Analytical Thinking: Ability to analyze complex financial data and market trends
• Decision Making: Sound judgment in investment selection and timing
• Communication: Clear presentation of investment ideas and strategies
• Adaptability: Quick response to changing market conditions
• Attention to Detail: Precision in portfolio construction and risk monitoring
申請工作時,切勿提供重要的個人資料,例如身份證、銀行戶口及信用卡的資料。
不要隨便相信「無需經驗、學歷」,又「人工高、福利好」的招聘廣告,應留意空缺工資與所需條件是否合乎現實和市場水平。對公司背景資料、空缺職責或行業亦應有基本認識。