Global Index Fund Manager — Hong Kong

Fuku

Hong Kong

On-site

HKD 900,000 - 1,100,000

Full time

6 days ago
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Job summary

Fuku is seeking an International Index Fund Manager for its Hong Kong subsidiary. The role focuses on managing portfolios of international index products (QDII and Stock Connect), ensuring strict benchmark tracking, and supporting the development of new index products.

The successful candidate will drive system upgrades and risk controls across the investment processes. We expect a Master’s degree in a quantitative field and at least three years of overseas investment experience, including time

Qualifications

  • Master’s degree or above in financial engineering, mathematics, quantitative finance, or related fields.
  • Excellent written and verbal Chinese and English; English can be used as a working language.
  • At least 3 years of overseas investment management experience, including 1 year within a financial institution in the most recent year.
  • Strong logical thinking, analytical abilities, judgment, and interpersonal communication.

Responsibilities

  • Manage portfolios of international index products (QDII and Stock Connect).
  • Track benchmarks and optimize tracking error under varying market conditions.
  • Research and design international index products and support implementation.
  • Promote upgrades of investment and trading systems for international index products.
  • Build a digital, intelligent management platform to boost portfolio operations and risk control.

Skills

Analytical thinking
Judgment
Verbal communication
Written communication
Interpersonal skills

Education

Master's degree or above in financial engineering / mathematics / quantitative finance or related disciplines

Job description

Fuku is seeking an International Index Fund Manager for its Hong Kong subsidiary. The role focuses on managing portfolios of international index products (QDII and Stock Connect), ensuring strict benchmark tracking, and supporting the development of new index products.

The successful candidate will drive system upgrades and risk controls across the investment processes. We expect a Master’s degree in a quantitative field and at least three years of overseas investment experience, including time

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