Overview
Job Specification: Global Portfolio Manager
Position: Global Portfolio Manager
Company Overview:
Our Client’s Company is a leading global investment management firm focusing on maximizing returns for its clients by actively managing a diverse portfolio of investments across different asset classes and geographies. As a Global Portfolio Manager, you will play a crucial role in managing and optimizing our clients’ global investment portfolios.
Job Summary:
The Global Portfolio Manager will be responsible for overseeing all aspects of our clients’ global investment portfolios, including asset allocation, portfolio construction, risk management, and performance evaluation. This role requires a strong understanding of global financial markets, various asset classes, and economic trends, as well as expertise in risk management techniques.
Responsibilities:
Develop and implement global investment strategies to maximize returns and meet clients’ investment objectives. Conduct thorough research and analysis of global financial markets, economies, and industries to identify investment opportunities and risks. Assess and manage risks associated with different asset classes, geographic regions, and market conditions. Construct and manage diversified global investment portfolios based on clients’ risk tolerance, return expectations, and investment preferences. Monitor and evaluate portfolio performance, making necessary adjustments to ensure alignment with investment objectives. Collaborate with internal and external stakeholders to gather and analyze data, and ensure compliance with regulatory requirements. Provide timely investment advice and recommendations to clients, addressing their specific needs and investment goals. Stay updated with the latest market trends, developments, and regulations to refine investment strategies and maintain a competitive edge. Build and maintain strong relationships with clients, addressing their queries and concerns, and provide exceptional customer service. Present investment strategies, market updates, and portfolio performance reports to clients and internal teams.
Requirements:
Bachelor’s degree in finance, economics, business, or a related field. A master’s degree or CFA designation is preferred. Proven experience as a Portfolio Manager or a similar role with a focus on global investments. In-depth knowledge of global financial markets, various asset classes, and economic trends. Strong analytical skills to conduct thorough research, assess risks, and identify investment opportunities. Proficient in portfolio management software and investment analysis tools. Excellent understanding of risk management techniques and ability to implement effective risk mitigation strategies. Exceptional communication skills to present investment strategies and reports to clients and internal teams. Strong interpersonal skills to build and maintain relationships with clients and stakeholders. Ability to work in a fast-paced environment and manage multiple priorities simultaneously. Strong ethical standards, with an emphasis on integrity and professionalism.
The Global Portfolio Manager will be rewarded with a competitive compensation package, including a base salary, performance-based bonuses, and comprehensive benefits.
Full Time
Company Social