Description:
As a Fund Manager at Finstreet, you will be responsible for the strategic management and performance of investment funds. Your role will involve making investment decisions, conducting research, and implementing strategies to achieve optimal returns for our clients. You will work closely with a team of professionals to deliver exceptional results.
Key Responsibilities:
Portfolio Management:
- Develop and execute investment strategies to achieve fund objectives and maximize returns.
- Monitor and analyze market trends, economic indicators, and financial news to inform investment decisions.
Asset Allocation:
- Determine the appropriate allocation of assets within fund portfolios.
- Rebalance portfolios as needed to maintain target asset allocations.
Research and Analysis:
- Conduct in-depth research on potential investment opportunities, including equities, fixed income, and alternative investments.
- Perform quantitative and qualitative analysis to assess the risk and return profiles of investments.
Risk Management:
- Identify and assess risks associated with fund investments and develop risk mitigation strategies.
- Ensure compliance with investment guidelines and regulatory requirements.
Client Relations:
- Build and maintain strong relationships with clients, providing regular updates on fund performance and investment strategies.
- Address client inquiries and concerns in a timely and professional manner.
Reporting and Documentation:
- Prepare detailed reports on fund performance, asset allocation, and investment outlook.
- Maintain accurate records of investment decisions and portfolio transactions.
Team Collaboration:
- Collaborate with research analysts, traders, and other team members to implement investment strategies.
- Participate in investment committee meetings and discussions.
Qualifications:
- Bachelor's degree in Finance, Economics, or a related field (Master's degree or CFA designation preferred).
- Proven experience as a Fund Manager or in a similar investment management role.
- Strong knowledge of financial markets, investment instruments, and portfolio management techniques.
- Excellent analytical and decision-making skills.
- Proficiency in financial analysis tools and software.
- Strong communication and interpersonal skills.
- Ability to work effectively in a fast-paced and dynamic environment.