Investment Portfolio Manager
FxPro
Employer Active
Posted 17 hrs ago
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Experience
5 - 8 Years
Job Location
Education
Bachelor of Commerce(Commerce), Bachelor of Arts(Economics)
Nationality
Any Nationality
Gender
Not Mentioned
Vacancy
1 Vacancy
Job Description
Roles & Responsibilities
As the Investment Portfolio Manager, you will be responsible for managing a portfolio of assets for current and future bank clients, aligning investment strategies with their individual financial goals, risk tolerance, and time horizons. The ideal candidate will have a strong understanding of financial markets, excellent analytical skills, and a proven track record of delivering solid investment performance within a regulated banking environment. This position reports to the COO.
Responsibilities:
Manage and proactively monitor investment portfolios for current and prospective bank clients, ensuring alignment with their financial goals, time horizons, and risk tolerance
Develop and implement tailored investment strategies, including asset allocation, security selection, and periodic portfolio rebalancing
Conduct comprehensive financial analysis, including market research, macroeconomic forecasting, and individual security valuation, to support sound investment decisions
Execute investment transactions and continuously evaluate portfolio performance, making strategic adjustments to optimize returns and mitigate risks
Provide regular updates to clients on portfolio performance, market trends, and strategic recommendations, maintaining a high standard of client engagement and trust
Collaborate closely with senior stakeholders by preparing and presenting high-quality reports, performance reviews, and market insights; offer strategic advice to support decision-making at the executive level
Ensure full compliance with regulatory frameworks and internal policies, maintaining accurate documentation and adhering to the highest standards of risk management and governance
Stay up to date in the of current market trends, economic developments, and new investment products
Requirements:
Masters degree in Finance, Economics, or a related field
Minimum of 5 years of experience in investment portfolio management, preferably within a bank
Proven track record of managing investment portfolios and achieving investment objectives
Strong understanding of financial markets, investment instruments, and portfolio management principles
Excellent analytical, quantitative, and problem-solving skills
Exceptional communication, presentation, and interpersonal skills
Ability to work independently and as part of a team
Strong proficiency in financial analysis software and portfolio management systems
CFA designation or progress towards completion is preferred
Deep knowledge of banking regulations and compliance requirements
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