International Index Fund Manager

Fuku

Hong Kong

On-site

HKD 600,000 - 900,000

Full time

8 days ago
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Job summary

Fuku is seeking a seasoned International Index Fund Manager to oversee portfolios of international index products (QDII and Stock Connect), ensuring strict benchmark tracking and ongoing performance reviews. The role also supports research and design of new index products and the upgrade of trading systems for enhanced efficiency.

Candidates should have a Master’s degree in a quantitative field, at least 3 years in overseas investment management, and strong English/Chinese communication and

Qualifications

  • Master’s degree or above in financial engineering, mathematics, quantitative finance, or related disciplines.
  • Excellent written and verbal communication in Chinese and English; English as working language.

Responsibilities

  • Manage portfolios of international index products (QDII and Stock Connect) with portfolio construction and reviews.
  • Strictly track the benchmark index and optimize tracking error control techniques.

Skills

Portfolio management
Index tracking
Quantitative finance
Research design
Bilingual communication

Education

Master’s degree in financial engineering/quantitative finance

Job description

International Index Fund Manager (Hong Kong Subsidiary)

About Our Client:

Top Chinese Asset Management Institution

Location:

Hong Kong

Responsibilities:
  • Manage portfolios of international index products (QDII and Stock Connect), including portfolio construction and regular reviews.
  • Strictly track the benchmark index and optimize tracking error control techniques according to market conditions.
  • Assist in the research and design of international index products, supporting the development and implementation of these products.
  • Promote the intelligent upgrade of end-to-end investment and trading systems for international index products.
  • Build an efficient and stable digital and intelligent management platform to enhance portfolio operating efficiency and risk control standards.
Requirements:
  • Master’s degree or above, preferably in financial engineering, mathematics, quantitative finance, or related disciplines.
  • Excellent written and verbal communication skills in both Chinese and English; English can be used as a working language.
  • Minimum of 3 years of relevant business experience in overseas investment management, including at least one year of relevant work at a financial institution within the most recent year.
  • Strong logical thinking, analytical and judgment capabilities, verbal and written communication skills, and interpersonal communication skills.
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