Fund Manager at City Code Mortgage Bank Limited
City Code Mortgage Bank Limited
Publiée il y a 1 mois · Expire dans 3 semaines
Description du poste
About the Role
A dynamic team is expanding and looking for the right talent. The ideal candidate will be responsible for asset allocation, portfolio management, risk assessment, and strategic investment decision-making across multiple asset classes.
Key Responsibilities
- Manage and optimize investment portfolios to achieve targeted returns while mitigating risks
- Conduct in-depth market research, financial analysis, and economic forecasting to guide investment decisions
- Develop and implement fund strategies across asset classes such as equities, fixed income, real estate, and money market instruments
- Monitor portfolio performance, market trends, and regulatory developments
- Prepare and present periodic investment reports, portfolio analytics, and performance updates to management and clients
- Identify new investment opportunities and evaluate their suitability for various portfolio mandates
- Ensure compliance with regulatory guidelines (SEC, CFA, NAICOM, etc.) and internal investment policies
- Maintain strong relationships with clients, investors, brokers, and other market stakeholders
- Oversee fund operations, risk controls, and documentation for all managed portfolios
- Support capital-raising efforts, investor engagement, and marketing of existing and new funds
Required Qualifications
- Bachelor's Degree in Finance, Economics, Accounting, Investment Management, or related field
- Minimum of 5–10 years' experience in portfolio management, investment analysis, or fund management in an investment or asset management firm
- Strong understanding of financial markets, asset classes, investment instruments, and portfolio construction
- Excellent analytical, quantitative, and research skills
- Strong communication and presentation skills
Preferred Qualifications
- Professional qualifications such as CFA, CIS, ACCA, or ICAN, or progress toward any of these
- Demonstrated ability to outperform benchmarks and deliver consistent portfolio results
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