Portfolio Manager

Senna

Dubai

On-site

AED 300,000 - 480,000

Full time

10 days ago

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Benefits offered by this job

Performance-linked compensation
Medical coverage for employee and 가족
Life insurance
Career development and mentorship from

Job summary

Senna, based in Dubai, seeks an Associate Vice President - Liability Portfolio Manager to support the growth and management of the Retail Liabilities portfolio, including CASA, Fixed Deposits and Everyday Banking products. The role involves portfolio performance monitoring, data analysis, product development support, and governance across customer segments.

The ideal candidate has 3-5 years in portfolio management or analytics within banking, with a strong analytical and data-driven approach and

Qualifications

  • Bachelor's degree in a relevant field; MBA preferred.
  • 3-5 years of experience in portfolio management, data analytics, or portfolio governance.
  • Experience in the banking industry.
  • Strong analytical and data-driven approach.

Responsibilities

  • Support growth and management of the Retail Liabilities portfolio, including CASA, Fixed Deposits, and Everyday Banking products.
  • Monitor portfolio performance against metrics including balances, customer acquisition, activation, attrition, and profitability.
  • Prepare and maintain periodic portfolio performance reports, management dashboards, and business insights.
  • Conduct data analysis to identify customer trends, growth opportunities, and areas requiring performance improvement.
  • Support portfolio forecasting, budgeting, and business planning activities.
  • Assist in the development, enhancement, and optimisation of retail liabilities products and customer propositions.
  • Coordinate product launches, pricing updates, change requests, and customer communication initiatives.
  • Maintain accurate product documentation and ensure adherence to product governance frameworks.
  • Analyse customer segments and support the design of targeted propositions, campaigns, and engagement strategies.
  • Perform pricing and competitor analysis, including market benchmarking and monitoring of industry trends.
  • Develop business cases and evaluate the commercial viability, profitability, and customer value of new initiatives and promotions.
  • Ensure compliance with regulatory requirements and support preparation of approval papers, product reviews, policies, and governance documentation.

Skills

Data analytics
Portfolio governance
Analytical mindset
Interpersonal skills
Communication
AI skills

Education

Bachelor's degree
MBA preferred

Tools

SAS
SQL

Job description

Job Description:

The Role

The asset manager is hiring an Associate Vice President - Liability Portfolio Manager. The role focuses on supporting the growth and management of the Retail Liabilities portfolio, covering CASA, Fixed Deposits, and Everyday Banking products. Work spans portfolio performance monitoring, data analysis, product development support, and governance.

Key Responsibilities
  • Support growth and management of the Retail Liabilities portfolio, including CASA, Fixed Deposits, and Everyday Banking products.
  • Monitor portfolio performance against metrics including balances, customer acquisition, activation, attrition, and profitability.
  • Prepare and maintain periodic portfolio performance reports, management dashboards, and business insights.
  • Conduct data analysis to identify customer trends, growth opportunities, and areas requiring performance improvement.
  • Support portfolio forecasting, budgeting, and business planning activities.
  • Assist in the development, enhancement, and optimisation of retail liabilities products and customer propositions.
  • Coordinate product launches, pricing updates, change requests, and customer communication initiatives.
  • Maintain accurate product documentation and ensure adherence to product governance frameworks.
  • Analyse customer segments and support the design of targeted propositions, campaigns, and engagement strategies.
  • Perform pricing and competitor analysis, including market benchmarking and monitoring of industry trends.
  • Develop business cases and evaluate the commercial viability, profitability, and customer value of new initiatives and promotions.
  • Ensure compliance with regulatory requirements and support preparation of approval papers, product reviews, policies, and governance documentation.
Skills & Experience
  • 3-5 years of experience in portfolio management, data analytics, or portfolio governance.
  • Experience in the banking industry.
  • Bachelor's degree in a relevant field; MBA preferred.
  • Strong analytical and data-driven approach.
  • Proficiency in data analytical tools including SAS and SQL.
  • AI skills.
  • Strong interpersonal and communication skills.
Compensation & Benefits
  • Performance-linked compensation.
  • Medical coverage for employee and family.
  • Life insurance.
  • Career development and mentorship from industry experts.
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