Lead Fund Manager: Strategy & Risk for MPF/Mutual Funds

Bank of Communications Hong Kong Branch

Hong Kong

On-site

HKD 1,200,000 - 2,400,000

Full time

14 days+
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Job summary

Bank of Communications (Hong Kong) Limited in Hong Kong seeks an experienced Fund Manager to formulate investment strategies, implement risk controls, and manage provident funds or discretionary investments.

You will monitor economic and industry trends, prepare investment proposals and market commentaries, and produce comprehensive performance and risk reports.

Candidates with MPF/pension/mutual funds background and SFO exa m passes are preferred; FRM or CFP is an advantage.

Qualifications

  • Minimum 8 years’ working experience in MPF, pension or mutual funds.
  • Passes in MPF & Securities Intermediaries Examinations (SFO Regulated Activities Types 1, 4, 5 & 9).
  • Degree holder or HKQF Level 5; FRM or CFP is advantageous.

Responsibilities

  • Formulate investment strategies and risk controls for funds.
  • Monitor economic/industry trends and portfolio characteristics; prepare proposals and market commentaries.
  • Perform comprehensive investment performance reports and risk assessments.

Skills

Investment strategy
Risk management
Portfolio analysis
Market commentary

Education

Bachelor degree
HKQF Level 5
FRM/CFP (advantage)

Job description

Bank of Communications (Hong Kong) Limited in Hong Kong seeks an experienced Fund Manager to formulate investment strategies, implement risk controls, and manage provident funds or discretionary investments.

You will monitor economic and industry trends, prepare investment proposals and market commentaries, and produce comprehensive performance and risk reports.

Candidates with MPF/pension/mutual funds background and SFO exa m passes are preferred; FRM or CFP is an advantage.

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