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Job Description:
Together with other Responsible Officers (ROs) of AMC, carry on and supervise the Type 9 regulated activities of the company. This includes, but not limited to managing the MPF scheme’s daily dealing activities, and being responsible for ensuring the entire asset management function abides the regulatory guidelines/restrictions as set by the MPFA and the SFC
Regularly review and enhance investment processes to make sure our flow/procedure is both effective and efficient.
Perform all aspects of fund/fund manager screening, due diligence, selection, monitoring, evaluation as well as formulating strategic and tactical asset allocation.
Jointly accountable for making tactical allocation to underlying funds/fund managers to deliver results in meeting performance targets.
Support AMC’s business initiatives including product design and launch, and manage external manager relationship.
Responsibilities
Perform asset management function abide by the SFC and the MPFA regulations
All aspects of fund/fund manager screening, due diligence, selection, monitoring, evaluation, as well as formulating strategic and tactical asset allocation
Conduct dealing activities, and research on macro and multi-asset classes
Provide regular performance analysis, report, review, and commentaries for publication of fund factsheets, brochures, and other marketing materials for existing clients and prospects
Regularly review and enhance investment process
Preferred skills
Solid financial background with good understanding of the global financial market, and the ability to think laterally across sectors and multi-asset classes
Strong understanding of asset management strategies and regulatory compliance
Knowledge of MPF market and products, competition and the relevant regulatory framework
Good understanding of fund distribution landscape in HK as well as in the region
Excellent communication and interpersonal skills, with the ability to build relationships with key stakeholders
Good team player, positive attitude, ability to think out-of-the-box
High professional integrity
Strong client-first mindset with a relentless focus on delivery of fund performance
Qualifications
University graduate in Investment, Finance, Economics or similar discipline
Over 10 years of working experience in portfolio management or related fields
CFA charter holder and/or other relevant professional qualifications a plus
We offer 5-day work, attractive salary, MPF and excellent career development opportunities to the right candidate.
We are an equal opportunity employer and welcome applications from all qualified candidates. Application forms and resume will be kept for a period of 24 months after completion of the recruitment process. (All information will be held in strict confidence and only be used for recruitment purpose).
Job Category:
InvestmentsPosting End Date:
29/04/2025Other Jobs from Sun Life
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