Senior Investment Portfolio Manager | Strategy & Risk

Placements24

Benoni

On-site

ZAR 900,000 - 1,700,000

Full time

4 days ago
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Benefits offered by this job

Health insurance
Retirement plan
Professional growth opportunities

Job summary

Placements24 seeks an experienced Investment Portfolio Manager in Benoni to oversee client portfolios, balancing growth with risk control. You will conduct market research, select strategies, and rebalance portfolios to target returns while ensuring regulatory compliance.

Strong communication with clients is essential to explain performance and strategy. The ideal candidate holds a Master's in Finance or Economics, CFA preferred, with 8+ years in asset management and a proven track record

Qualifications

  • Master's degree or higher in Finance, Economics, or related quantitative field.
  • CFA designation is highly preferred.
  • Minimum of 8 years in investment management, portfolio management, or asset allocation.

Responsibilities

  • Develop and implement investment strategies aligned with client objectives and risk tolerance.
  • Construct and manage diversified portfolios across asset classes.
  • Conduct market research and analyze economic trends and securities.
  • Monitor performance and rebalance portfolios to achieve target returns.
  • Engage with clients to review performance and discuss strategy.
  • Ensure activities comply with regulatory requirements and internal policies.

Skills

Investment management
Portfolio construction
Market research
Client relationship management
Regulatory awareness

Education

Master's degree in Finance/Economics
CFA designation

Job description

Placements24 seeks an experienced Investment Portfolio Manager in Benoni to oversee client portfolios, balancing growth with risk control. You will conduct market research, select strategies, and rebalance portfolios to target returns while ensuring regulatory compliance.

Strong communication with clients is essential to explain performance and strategy. The ideal candidate holds a Master's in Finance or Economics, CFA preferred, with 8+ years in asset management and a proven track record

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