Portfolio Manager, Greater China
The role will be responsible to manage and provide analytical responsibility for Greater China with bias towards China. The role will have related stock coverage with asset allocation responsibility. The incumbent will participate in regular investment meetings with the investment team and be able to articulate the investment process and stock ideas to clients.
To be considered for this critical role, you will need to demonstrate:
- At least 6-10 years of relevant industry experience with coverage of Greater China stocks
- Strong analytical stock picking ability with in-depth knowledge of companies/stocks in their portfolio
- Good track record of managing funds
- Excellent written and verbal communication capabilities
- Fluent Mandarin skills is a MUST as candidates will be working with Chinese and Hong Kong clients
- Highly motivated, able to think logically, critically quickly
- Able to work both independently
- Strong presentation skills
To apply, please email your resume to assetmanagement.sg@alsrecruit.com.
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