Company Overview
We are a team of experienced professional executive search and recruitment consultants focusing to provide services for recruiting candidates, serving multinational and local companies in Greater China region.
Job Responsibilities:
- Independently or jointly manage the fund's investment portfolio in US, Hong Kong, A-shares, and other markets;
- Develop and execute investment strategies, identify investment targets with growth potential, and achieve absolute investment returns;
- Responsible for the construction, adjustment, and optimization of the investment portfolio to ensure the effective implementation of investment strategies;
- Possess excellent trading execution capabilities, reasonably control transaction costs, and improve investment efficiency;
- Strictly implement the company's risk control requirements, dynamically manage risk indicators such as positions, industry concentration, and leverage, and be responsible for investment performance.
Job Requirements:
- Bachelor's degree or above in finance, economics, science and engineering, or related fields; Master's degree preferred;
- At least 5 years of experience in global secondary market investment with a verifiable track record of excellent investment performance;
- Proficient in at least two markets, including US, Hong Kong, and A-shares, and familiar with diversified investment tools such as derivatives and ETFs;
- Possess solid trading skills and risk management awareness, and be able to adapt to a high-intensity, fast-paced market environment;
- Preference will be given to candidates holding a Type 9 Responsible Officer qualification from the Hong Kong Securities and Futures Commission.
Job details
- Industry
- Financial Services / Investment / Securities
- Job Function
- Banking / Finance > Asset Management, Banking / Finance > Capital Markets, Banking / Finance > Debt / Fixed Income
- Location
- Not Specified
- Published On
- 24 Jul 2026
- Job Ref. No.
- AG
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