- The role includes conducting financial analysis
- Strong expertise in Market Risk
- Advanced Analytical Skills for interpreting data
Role Description
This part-time hybrid role, based in Hong Kong SAR, involves responsibilities split between remote work and onsite presence as needed. The Portfolio Manager / Risk Manager will manage investment portfolios, handle risk assessments, and ensure protection against market uncertainties. The role includes conducting financial analysis, developing strategies for effective portfolio management, and monitoring market risks. The professional will work closely with stakeholders to ensure sound and optimized financial practices aligning with organizational objectives.
Qualifications
- Profound skills in Portfolio Management, Finance, and Financial Services to design and execute investment strategies effectively.
- Strong expertise in Market Risk and an understanding of risk management principles related to investment portfolios.
- Advanced Analytical Skills for interpreting data and making informed, strategic decisions.
- Excellent problem-solving skills, attention to detail, and proficiency in financial modeling tools or software.
- Bachelor’s degree in Finance, Economics, Business, or a related field is preferred.
- Prior experience in portfolio or risk management is an advantage.
- Ability to work collaboratively with diverse teams and communicate complex financial data concisely.
- Knowledge of financial regulations in Hong Kong SAR is a plus.