Manager-Investment
This position works under Vice President – Investment in handling financial modeling and analysis of fixed income, property fund/REIT, and equity portfolios, in alignment with the strategic direction and policies. The objective is to maximize the return on investment, while minimize downside risk.
Responsibilities
· Assist the superior in handling corporate credit investment and capital market investment, in alignment with the strategic direction and policies
· Be responsible for corporate credit monitoring and analysis to maximize investment return as planned budget.
· Gather all relevant information from macro and micro economic data and make a company visit, management interview, financial statement analysis, company analysis, and industry analysis to perform financial modeling and sensitivity analysis.
· Construct financial model and perform security valuation for investment recommendations under the risk/reward return.
· Communicate with external parties such as brokers, banks, industry experts to obtain investment knowledge regarding macroeconomics, industry, and market/ company specific information
· Continuously monitor investment performance, define the issues, and prevent any adverse impacts
· Ensure the achievement of investment strategies and targets
· High sense of responsibility
Qualifications
· Bachelor’s or Master’s Degree in Finance and Accounting, Economics, Business Administration, or other related fields
· Graduate certifications such as Chartered Financial Analyst (CFA) or/and CISA is a plus.
· 5 years of experience in investment security analysis/financial modeling and analysis
· Fund manager license or/and Security analyst license is a plus.
· Knowledge of investment and market industry
· Financial statement analysis and financial model skills
· Fluent in English communication