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Portfolio Manager

Julius Baer · Singapore · Singapore

Senior Portfolio Manager role in Singapore focused on discretionary portfolio management and growth in Greater China. Drive multi-asset portfolios, client advisory, and regulatory compliance for Julius Baer’s CIO Office.

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Senior Portfolio Manager role in Singapore focused on discretionary portfolio management and growth in Greater China.

Drive multi-asset portfolios, client advisory, and regulatory compliance for Julius Baer’s CIO Office.

At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.

Responsible for managing and monitoring investment portfolios, developing and implementing investment strategies, working closely with clients and stakeholders to achieve investment objectives, providing expert advice on investment matters and ensuring compliance with regulations and firm policies.

YOUR CHALLENGE

GENERAL DESCRIPTION

The Portfolio Manager (“PM”) is a member of CIO Office (“CIOO”) in Asia, reporting to the Head of CIOO Asia & Middle East Multi-Asset Class Team . The role is required to support the expansion of the CIOO business in Asia, with a focus on growth in the Greater China segment. The PM is accountable for portfolio construction and management of Discretionary Portfolio Management (“DPM”) mandates while partnering with Relationship Managers (“RMs”) to originate and convert client opportunities. He/She will play a key role in delivering ambitious net new flow targets and building a scalable CIOO platform for future growth in Asia.

Key responsibilities include:

Key performance indicators include:

KEY FEATURES OF THE POSITION

Client Management (internal & external)

Strong client facing handling and inter-personal skills – demonstrate the ability to establish strong working relationships and the ability to interact effectively with, both internal and external clients or prospects.

Stay abreast with general market trends

Must be able to articulate complex market insights and portfolio positioning in both fluent written and spoken Business Mandarin

Regulatory Responsibilities &/OR Risk Management

Demonstration of appropriate values and behaviours including but not limited to standards on honesty and integrity, due care and diligence, fair dealing (treating customers fairly), management of conflicts of interest, competence and continuous development, adequate risk management and compliance with applicable laws and regulations

YOUR PROFILE

Personal and Social

Strong team player with good maturity, excellent inter-personal skills and corporate discipline.

Ability to prioritize, multi-task and manage stress in a dynamic environment.

Possess a keen sense of ownership – ability to see assigned tasks to completion with minimal supervision

Flexible and adaptable

Self-driven and collaborative

Professional and Technical

8–15 years in portfolio management, DPM mandates or multi-asset investing.

Excellent track record in multi-asset portfolio management and client advisory.

Native/near-native Business Mandarin and strong English communication.

Strong analytical, decision-making and problem-solving skills.

Proficient in PowerPoint, Excel and Word.

Completed the regulatory examinations such as CACS Paper 1 and 2, CMFAS Module 3 and Module 6

CFA qualification is an advantage

Bloomberg knowledge is a plus.

Regulatory

MAS RNF registered representatives to perform the regulated activities in Fund Management

CACS 1 and CACS 2

Familiar with regulatory expectations and requirements

We are looking forward to receiving your full job application through our online application tool. Further interesting job opportunities can be found on our Career site .

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